We are live on ! Find out more
IFRA icon

iShares US Infrastructure ETF

Name Holding Trade Value Shares
Change
Change in
Stake
Envestnet Asset Management
1
Envestnet Asset Management
Illinois
$282M +$6.07M +163,064 +2%
Bank of America
2
Bank of America
North Carolina
$251M +$15.5M +417,174 +7%
LPL Financial
3
LPL Financial
California
$72.9M -$1.99M -53,496 -3%
Morgan Stanley
4
Morgan Stanley
New York
$67.7M +$6.54M +175,625 +12%
JP Morgan Chase
5
JP Morgan Chase
New York
$50.7M +$9.28M +249,205 +25%
Osaic Holdings
6
Osaic Holdings
Arizona
$41.3M -$23.6M -634,076 -38%
BlackRock
7
BlackRock
New York
$41.1M -$9.63M -258,572 -20%
Envestnet Portfolio Solutions
8
Envestnet Portfolio Solutions
Illinois
$39.3M +$1.97M +52,965 +6%
Carson Wealth (CWM LLC)
9
Carson Wealth (CWM LLC)
Nebraska
$35.7M +$940K +25,254 +3%
WBG
10
Wharton Business Group
Pennsylvania
$33.4M -$8.95M -240,480 -22%
Mariner
11
Mariner
Kansas
$31.9M +$4.46M +119,848 +18%
PAS
12
Park Avenue Securities
New York
$31.1M +$190K +5,110 +0.7%
HSBC Holdings
13
HSBC Holdings
United Kingdom
$27.4M +$6.67M +179,229 +36%
MML Investors Services
14
MML Investors Services
Massachusetts
$26.4M -$1.04M -28,028 -4%
Ameriprise
15
Ameriprise
Minnesota
$24.9M +$4.73M +126,936 +26%
Wells Fargo
16
Wells Fargo
California
$19M +$1.3M +34,802 +8%
Janney Montgomery Scott
17
Janney Montgomery Scott
Pennsylvania
$18.7M +$17.3M +464,986 New
PNC Financial Services Group
18
PNC Financial Services Group
Pennsylvania
$17.8M -$1.07M -28,752 -6%
Commonwealth Equity Services
19
Commonwealth Equity Services
Massachusetts
$13M -$120K -3,215 -1%
IWC
20
Integrated Wealth Concepts
Massachusetts
$12.1M -$221K -5,924 -2%
ECM
21
Evergreen Capital Management
Washington
$11.2M -$387K -10,391 -4%
Northwestern Mutual Wealth Management
22
Northwestern Mutual Wealth Management
Wisconsin
$11M +$6.16M +165,557 +153%
JC
23
JB Capital
Connecticut
$10.7M +$1.01M +27,147 +11%
Bank of New York Mellon
24
Bank of New York Mellon
New York
$10.3M +$809K +21,715 +9%
PAMG
25
Patton Albertson Miller Group
Tennessee
$10.3M -$112K -3,002 -1%