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iShares Biotechnology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
MBTD
426
Mechanics Bank - Trust Department
California
$710K
ET
427
Equitable Trust
Tennessee
$708K +$417K +2,693 +139%
Vontobel Holding
428
Vontobel Holding
Switzerland
$705K +$50.8K +328 +8%
PM
429
Penbrook Management
New York
$696K
CFSG
430
Community Financial Services Group
Vermont
$678K -$85.9K -555 -11%
VNA
431
Valley National Advisers
Pennsylvania
$677K -$33.4K -216 -5%
LWM
432
Laidlaw Wealth Management
New York
$674K +$683K +4,413 New
PF
433
Phoenix Financial
Israel
$673K +$59.5K +384 +10%
CWM
434
C2C Wealth Management
Arizona
$671K +$681K +4,397 New
KA
435
Kovack Advisors
Florida
$666K +$172K +1,114 +34%
NG
436
Northstar Group
New York
$657K +$15.5K +100 +2%
PFGIA
437
Patriot Financial Group Insurance Agency
Massachusetts
$656K -$25.2K -163 -4%
FHA
438
Flagship Harbor Advisors
Massachusetts
$655K -$21.7K -140 -3%
PA
439
Parallel Advisors
California
$653K -$7.43K -48 -1%
TSWM
440
Triangle Securities Wealth Management
North Carolina
$651K +$136K +876 +26%
PFA
441
Paradigm Financial Advisors
Missouri
$644K -$74.6K -482 -10%
SSCA
442
South Shore Capital Advisors
Massachusetts
$642K +$47.1K +304 +8%
BWM
443
BigSur Wealth Management
Florida
$641K
MWA
444
Monograph Wealth Advisors
California
$641K +$650K +4,200 New
AIM
445
Alhambra Investment Management
Florida
$639K +$86.2K +557 +15%
EDRH
446
Edmond de Rothschild Holding
Switzerland
$638K -$567K -3,660 -47%
TI
447
tru Independence
Oregon
$636K -$8.67K -56 -1%
CAM
448
Cresset Asset Management
Illinois
$634K +$418K +2,698 +185%
AIM
449
Anchor Investment Management
South Carolina
$634K +$71.2K +460 +12%
FFN
450
Focus Financial Network
Minnesota
$625K +$25.1K +162 +4%