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iShares Biotechnology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
CWM
651
Congress Wealth Management
Massachusetts
$214K -$10K -75 -5%
KWM
652
KFG Wealth Management
Indiana
$214K +$208K +1,560 New
RJT
653
Raymond James Trust
Florida
$214K -$6.67K -50 -3%
ML
654
McAdam LLC
Pennsylvania
$212K -$3.74K -28 -2%
BDFN
655
Bond & Devick Financial Network
Minnesota
$212K
Empower Advisory Group
656
Empower Advisory Group
Colorado
$212K -$25.6K -192 -11%
DWT
657
Dorsey & Whitney Trust
South Dakota
$210K +$1.33K +10 +0.7%
TC
658
TownSquare Capital
Utah
$210K -$1.2K -9 -0.6%
LAM
659
Lewis Asset Management
California
$209K +$8.54K +64 +4%
SIC
660
Sterling Investment Counsel
New York
$209K -$12.5K -94 -6%
KFC
661
Klingenstein Fields & Co
New York
$205K -$10.5K -79 -5%
NSIM
662
North Star Investment Management
Illinois
$204K
GL
663
Graypoint LLC
New York
$204K +$199K +1,488 New
TAM
664
TCP Asset Management
Ohio
$204K -$7.61K -57 -4%
GSEP
665
Golden State Equity Partners
California
$204K +$198K +1,486 New
GF
666
Gries Financial
Ohio
$204K
WAM
667
WNY Asset Management
New York
$204K
WA
668
WBH Advisory
Maryland
$202K
AC
669
Addison Capital
Pennsylvania
$201K +$196K +1,466 New
UB
670
UMB Bank
Missouri
$197K -$13.3K -100 -7%
PA
671
Parallel Advisors
California
$189K -$76.6K -574 -29%
HTI
672
Hikari Tsushin Inc
Japan
$188K
CFD
673
Creative Financial Designs
Indiana
$185K -$179K -1,340 -50%
BF
674
BOK Financial
Oklahoma
$184K
AWM
675
Activest Wealth Management
Florida
$181K +$113K +845 +178%