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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
WFS
226
WealthGarden F.S.
California
$503K -$98.2K -1,935 -16%
IWC
227
Integrated Wealth Concepts
Massachusetts
$497K +$511K +10,068 New
BI
228
Bramshill Investments
Florida
$494K -$203K -4,000 -29%
MSFS
229
Main Street Financial Solutions
Pennsylvania
$483K -$72.7K -1,432 -13%
NP
230
NorthRock Partners
Minnesota
$482K -$88.6K -1,746 -15%
ATPW
231
Ashton Thomas Private Wealth
Arizona
$473K
TWC
232
TD Waterhouse Canada
Ontario, Canada
$460K +$116K +2,284 +33%
FFA
233
First Foundation Advisors
California
$459K
CM
234
Caption Management
Oklahoma
$456K +$468K +9,220 New
OCM
235
One Capital Management
California
$453K
MFG
236
Merit Financial Group
Georgia
$452K +$42.6K +840 +10%
FWS
237
FinDec Wealth Services
California
$450K -$10.3K -203 -2%
FCA
238
Fortis Capital Advisors
Kansas
$441K -$10.2K -200 -2%
HIIFS
239
Harel Insurance Investments & Financial Services
Israel
$441K -$208K -4,100 -18%
SCM
240
Sage Capital Management
New Jersey
$438K -$25.2K -496 -5%
IAS
241
Insigneo Advisory Services
Florida
$436K +$26.4K +521 +6%
SFS
242
Sowell Financial Services
Arkansas
$423K -$121K -2,382 -22%
RWMH
243
Riverpoint Wealth Management Holdings
Illinois
$421K +$660 +13 +0.2%
PWA
244
Physician Wealth Advisors
Utah
$418K +$10.3K +202 +2%
JPLA
245
Joseph P. Lucia & Associates
New York
$418K -$127K -2,511 -23%
MCM
246
MAI Capital Management
Ohio
$417K -$4.11K -81 -0.9%
MTIM
247
Marathon Trading Investment Management
Pennsylvania
$415K +$426K +8,392 New
CCFM
248
Clear Creek Financial Management
Washington
$407K -$47K -926 -10%
HFRG
249
Houlihan Financial Resource Group
Virginia
$406K
PPWM
250
Paragon Private Wealth Management
Kentucky
$404K -$184K -3,627 -31%