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iShares US Medical Devices ETF

540 hedge funds and large institutions have $2.14B invested in iShares US Medical Devices ETF in 2024 Q2 according to their latest regulatory filings, with 52 funds opening new positions, 128 increasing their positions, 226 reducing their positions, and 83 closing their positions.

New
Increased
Maintained
Reduced
Closed
Holders
540
Holders Change
-38
Holders Change %
-6.57%
% of All Funds
7.85%
Holding in Top 10
3
Holding in Top 10 Change
-4
Holding in Top 10 Change %
-57.14%
% of All Funds
0.04%
New
52
Increased
128
Reduced
226
Closed
83
Calls
$20.2M
Puts
$12.9M
Net Calls
+$7.31M
Net Calls Change
-$16.6M
Name Holding Trade Value Shares
Change
Shares
Change %
FCA
476
FinTrust Capital Advisors
South Carolina
$16.8K -$16.8K -300 -50%
CAM
477
Creekmur Asset Management
Illinois
$16.5K
ACA
478
Aptus Capital Advisors
Alabama
$16.3K -$18K -322 -53%
PB
479
Pinnacle Bancorp
Nebraska
$16.1K
GWP
480
Gen-Wealth Partners
Michigan
$15.5K
FLPIM
481
F.L. Putnam Investment Management
Massachusetts
$15.3K +$15.3K +274 New
DFA
482
DHJJ Financial Advisors
Illinois
$14.8K
CTC
483
Central Trust Company
Missouri
$14.6K
MA
484
MCF Advisors
Kentucky
$14.6K +$14.6K +261 New
CAS
485
Coppell Advisory Solutions
Texas
$14.6K +$14.6K +261 New
AFG
486
Albion Financial Group
Utah
$13.5K
CTA
487
Colonial Trust Advisors
South Carolina
$13.1K -$34.4K -613 -72%
WP
488
WealthShield Partners
North Carolina
$13.1K
APC
489
Aspire Private Capital
North Carolina
$12K
CB
490
Chris Bulman
California
$11.4K +$11.4K +204 New
PFM
491
Phillips Financial Management
Indiana
$11.2K +$5.6K +100 +100%
DPW
492
DiNuzzo Private Wealth
Pennsylvania
$10.6K
CPG
493
Cornerstone Planning Group
New Jersey
$9.47K +$54 +1 +0.6%
FFL
494
Financial Freedom LLC
Ohio
$9.3K -$20.9K -373 -69%
PA
495
PSI Advisors
Florida
$8.57K
RA
496
Rise Advisors
New York
$8.57K
CPA
497
Clear Point Advisors
New York
$8.52K
LI
498
LRI Investments
Florida
$8.41K
CCMW
499
Cypress Capital Management (Wyoming)
Wyoming
$8.41K
OWA
500
Opal Wealth Advisors
New York
$8.41K +$8.41K +150 New