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iShares Core MSCI Emerging Markets ETF

Name Holding Trade Value Shares
Change
Change in
Stake
NB
676
Nicolet Bankshares
Wisconsin
$853K +$292K +5,941 +39%
PAG
677
Pinnacle Advisory Group
Maryland
$847K +$167K +3,401 +19%
CCM
678
Coldstream Capital Management
Washington
$846K -$148K -3,018 -13%
CCA
679
Column Capital Advisors
Indiana
$831K +$985K +20,065 +4,391%
SAM
680
Strategy Asset Managers
California
$830K +$324K +6,607 +48%
MOS
681
MGO One Seven
Ohio
$830K +$441K +8,970 +78%
BP
682
BBR Partners
New York
$823K -$9.23K -188 -0.9%
PL
683
Plancorp LLC
Missouri
$822K +$704K +14,340 +240%
GCA
684
Greenwood Capital Associates
South Carolina
$819K -$11.4M -231,128 -92%
KFGK
685
Keystone Financial Group (Kentucky)
Kentucky
$816K -$346K -7,038 -26%
VAS
686
Vestmark Advisory Solutions
Massachusetts
$814K -$675K -13,738 -41%
FFA
687
Fragasso Financial Advisors
Pennsylvania
$813K +$987K +20,098 New
IWP
688
IAG Wealth Partners
Wisconsin
$796K -$80K -1,630 -8%
WSFS
689
Wilmington Savings Fund Society
Delaware
$796K +$966K +19,670 New
First Manhattan
690
First Manhattan
New York
$790K +$369K +7,515 +63%
NEGWA
691
New England Guild Wealth Advisors
Connecticut
$785K
ACP
692
Aveo Capital Partners
Colorado
$785K +$118K +2,396 +14%
BFC
693
Blue Fin Capital
Rhode Island
$784K -$106K -2,167 -10%
TIM
694
Total Investment Management
Arizona
$780K -$737K -15,009 -44%
PG
695
Patten Group
Tennessee
$773K -$187K -3,809 -17%
GC
696
Garde Capital
Washington
$765K +$131K +2,674 +16%
Chevy Chase Trust
697
Chevy Chase Trust
Maryland
$763K +$863K +17,583 +1,380%
WIA
698
World Investment Advisors
California
$761K +$12.9K +262 +1%
JG
699
Jefferies Group
New York
$749K -$73.7K -1,500 -8%
VCM
700
Vivaldi Capital Management
Illinois
$749K +$108K +2,194 +13%