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iShares Biotechnology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
IAA
226
Ironsides Asset Advisors
North Carolina
$360K +$346K +3,942 New
AA
227
Ancora Advisors
Ohio
$358K +$41.3K +471 +14%
ICRM
228
Insight Capital Research & Management
California
$358K +$345K +3,930 New
Jane Street
229
Jane Street
New York
$349K +$335K +3,822 New
HNB
230
Huntington National Bank
Ohio
$345K – – –
DAS
231
Dynamic Advisor Solutions
Arizona
$345K +$39.8K +453 +14%
BAS
232
Brown Advisory Securities
Maryland
$343K +$52.7K +600 +19%
BUB
233
BBVA USA Bancshares
Texas
$339K – – –
SBH
234
Segall Bryant & Hamill
Illinois
$329K – – –
BF
235
BOK Financial
Oklahoma
$322K -$7.9K -90 -2%
YP
236
Yellowstone Partners
Idaho
$293K -$1.32K -15 -0.5%
VKH
237
Virtu KCG Holdings
New York
$286K -$708K -8,070 -72%
EVM
238
Eaton Vance Management
Massachusetts
$285K -$20.8K -237 -7%
CFA
239
Carroll Financial Associates
North Carolina
$283K – – –
DSAM
240
Dock Street Asset Management
Florida
$280K +$270K +3,072 New
KWMG
241
King Wealth Management Group
Florida
$273K +$263K +3,000 New
HHC
242
Hutchin Hill Capital
New York
$269K +$259K +2,949 New
JIC
243
Johnson Investment Counsel
Ohio
$266K – – –
WP
244
WMS Partners
Maryland
$265K +$4.74K +54 +2%
RG
245
Rathbones Group
United Kingdom
$264K – – –
UBWV
246
United Bank (West Virginia)
West Virginia
$260K – – –
MCM
247
Maryland Capital Management
Maryland
$254K – – –
TYCC
248
Texas Yale Capital Corp
Florida
$253K – – –
RCAG
249
Rehmann Capital Advisory Group
Michigan
$251K -$8.43K -96 -3%
AMG
250
Asset Management Group
Connecticut
$251K +$263 +3 +0.1%