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iShares US Pharmaceuticals ETF

Name Holding Trade Value Shares
Change
Change in
Stake
HSBC Holdings
26
HSBC Holdings
United Kingdom
$692K
ACM
27
Avalon Capital Management
California
$681K -$42.3K -1,200 -6%
WA
28
WESPAC Advisors
California
$649K +$224K +6,375 +53%
VFS
29
VSR Financial Services
Kansas
$623K -$56.4K -1,602 -8%
NES
30
New England Securities
New York
$514K +$104K +2,958 +26%
ICOA
31
Investment Centers of America
North Dakota
$474K +$119K +3,366 +33%
US Bancorp
32
US Bancorp
Minnesota
$457K
CAN
33
Cetera Advisor Networks
California
$437K +$24.3K +690 +6%
WA
34
WFG Advisors
Texas
$414K +$411K +11,661 New
NPC
35
National Planning Corporation
California
$407K +$49.3K +1,401 +14%
Goldman Sachs
36
Goldman Sachs
New York
$405K +$402K +11,412 New
TYCC
37
Texas Yale Capital Corp
Florida
$396K
AMG
38
Asset Management Group
Connecticut
$366K +$364K +10,332 New
BFS
39
Bradley Foster & Sargent
Connecticut
$277K +$275K +7,800 New
William Blair & Company
40
William Blair & Company
Illinois
$276K
Ameriprise
41
Ameriprise
Minnesota
$267K +$84.1K +2,388 +47%
CCM
42
Condor Capital Management
New Jersey
$261K +$2.75K +78 +1%
CS
43
Credit Suisse
Switzerland
$256K -$4.22K -120 -2%
CB
44
Commerce Bank
Missouri
$223K -$52.8K -1,500 -19%
OC
45
Oppenheimer & Co
New York
$212K +$210K +5,964 New
SI
46
Stephens Inc
Arkansas
$201K +$200K +5,670 New
EWM
47
Edge Wealth Management
New York
$163K
LTFS
48
Ladenburg Thalmann Financial Services
Florida
$163K +$26.3K +747 +19%
BRWA
49
B. Riley Wealth Advisors
Florida
$161K +$4.22K +120 +3%
PAS
50
Partnervest Advisory Services
California
$161K +$60.2K +1,710 +61%