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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
ATC
276
Advantage Trust Company
Kansas
$429K
PTC
277
Private Trust Company
Ohio
$426K -$29.2K -477 -6%
MWM
278
Meridian Wealth Management
Kentucky
$425K -$25.7K -420 -6%
AG
279
AlTi Global
New York
$422K
SI
280
Stephens Inc
Arkansas
$418K -$135K -2,214 -24%
SIS
281
Strategic Investment Solutions
Illinois
$410K +$19.9K +326 +5%
PIA
282
Panoramic Investment Advisors
Colorado
$410K -$18K -295 -4%
IDA
283
Intelligence Driven Advisers
California
$400K
WG
284
Welch Group
Alabama
$398K
RFA
285
Resurgent Financial Advisors
Georgia
$398K +$405K +6,617 New
KDA
286
Kraft Davis & Associates
Missouri
$390K
SC
287
Scotia Capital
Ontario, Canada
$386K +$79.6K +1,302 +25%
DS
288
DRW Securities
Illinois
$384K +$392K +6,402 New
MWM
289
Mascoma Wealth Management
New Hampshire
$382K -$116K -1,897 -23%
CP
290
Creekside Partners
California
$382K
Comerica Bank
291
Comerica Bank
Texas
$379K -$23.6K -386 -6%
CMMS
292
Comprehensive Money Management Services
Florida
$377K
National Bank of Canada
293
National Bank of Canada
Quebec, Canada
$374K -$663K -10,845 -64%
CC
294
Courier Capital
New York
$372K -$5.08K -83 -1%
PWA
295
Primoris Wealth Advisors
Florida
$372K -$30.6K -500 -7%
BIA
296
Biondo Investment Advisors
Pennsylvania
$371K +$15.9K +260 +4%
IFG
297
Independent Financial Group
California
$370K
FPGK
298
Financial Partners Group (Kansas)
Kansas
$368K -$11.9K -195 -3%
FFS
299
Founders Financial Securities
Maryland
$367K -$9.05K -148 -2%
PA
300
PFG Advisors
Arizona
$366K +$373K +6,092 New