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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
WWM
251
Western Wealth Management
Colorado
$428K -$101K -1,724 -18%
US Bancorp
252
US Bancorp
Minnesota
$427K -$1.22M -20,714 -72%
CT
253
Caldwell Trust
Florida
$424K -$9.51K -162 -2%
WPC
254
Wedmont Private Capital
Pennsylvania
$417K -$3.52K -60 -0.8%
FI
255
Finivi Inc
Massachusetts
$413K -$103K -1,749 -18%
KIA
256
KCM Investment Advisors
California
$404K
PWW
257
Pettyjohn Wood & White
Virginia
$402K
FMI
258
Financial Management Inc
Arkansas
$398K -$352 -6 -0.1%
ZCP
259
Z3 Capital Partners
Virginia
$396K -$79.2K -1,349 -15%
NS
260
NBC Securities
Alabama
$395K -$117K -1,997 -21%
CWM
261
Circle Wealth Management
New Jersey
$395K
BW
262
Balance Wealth
Ohio
$395K -$43.5K -740 -9%
HA
263
Hyposwiss Advisors
$393K
PCG
264
Prosperity Consulting Group
Maryland
$392K -$208K -3,547 -33%
HIA
265
Harbor Investment Advisory
Maryland
$390K
FHWM
266
Fox Hill Wealth Management
Massachusetts
$390K -$12.1K -206 -3%
BCI
267
Brinker Capital Investments
Pennsylvania
$385K -$67.8K -1,154 -14%
DAM
268
Delta Asset Management
Tennessee
$384K
Focus Partners Wealth
269
Focus Partners Wealth
Massachusetts
$382K -$235K -4,002 -36%
BAM
270
BCV Asset Management
$380K +$424K +7,223 New
MWM
271
Meridian Wealth Management
Kentucky
$378K +$59 +1 +0%
IC
272
IEQ Capital
California
$377K
AG
273
AlTi Global
New York
$375K -$19.6K -334 -5%
LSIA
274
LaSalle St. Investment Advisors
Illinois
$371K +$59 +1 +0%
TWC
275
TD Waterhouse Canada
Ontario, Canada
$370K -$1.87M -31,812 -82%