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iShares US Treasury Bond ETF

Name Holding Trade Value Shares
Change
Change in
Stake
SCI
326
Stableford Capital II
Arizona
$965K -$39.8K -1,751 -4%
I
327
INVST
Indiana
$961K +$733K +32,265 +309%
WWA
328
WCG Wealth Advisors
Nevada
$961K -$776K -34,121 -45%
AWM
329
Alterna Wealth Management
Texas
$956K -$564K -24,803 -37%
BOM
330
Bank of Marin
California
$955K +$40.1K +1,764 +4%
HFA
331
High Falls Advisors
New York
$947K -$350K -15,412 -27%
SWG
332
Summit Wealth Group
Vermont
$945K +$44.1K +1,939 +5%
FW
333
FirstPurpose Wealth
Utah
$942K +$7.52K +331 +0.8%
MIFH
334
Migdal Insurance & Financial Holdings
Israel
$928K +$926K +40,739 New
BW
335
BIP Wealth
Georgia
$927K +$667K +29,333 +257%
BTWM
336
Baker Tilly Wealth Management
Wisconsin
$927K -$1.07M -46,893 -54%
SAW
337
Signal Advisors Wealth
Michigan
$904K +$282K +12,417 +46%
FHA
338
First Horizon Advisors
Tennessee
$897K +$196K +8,613 +28%
BHWM
339
Bay Harbor Wealth Management
Maryland
$893K +$116K +5,089 +15%
PFG
340
Pacific Financial Group
Washington
$888K +$45.9K +2,018 +5%
Principal Financial Group
341
Principal Financial Group
Iowa
$888K -$21.5K -944 -2%
Qube Research & Technologies (QRT)
342
Qube Research & Technologies (QRT)
United Kingdom
$880K -$979K -43,054 -53%
TPW
343
Transatlantique Private Wealth
New York
$876K
FM
344
Foster & Motley
Ohio
$875K -$5.93K -261 -0.7%
T
345
TNF
Montana
$875K -$1.72M -75,761 -66%
RF
346
RHS Financial
California
$874K +$13.8K +608 +2%
Bank of Montreal
347
Bank of Montreal
Ontario, Canada
$869K -$179K -7,879 -17%
TVM
348
True Vision MN
Minnesota
$856K +$225K +9,885 +34%
IAN
349
Integrated Advisors Network
Texas
$849K -$240K -10,542 -22%
MC
350
Moors & Cabot
Massachusetts
$849K +$89K +3,914 +12%