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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
PS
301
Portfolio Strategies
New York
-$1.72M -44,664 Closed
BFA
302
Beaumont Financial Advisors
Massachusetts
-$1.71M -44,310 Closed
LJAC
303
L.J. Altfest & Co
New York
-$1.51M -39,270 Closed
TSS
304
Two Sigma Securities
New York
-$1.01M -26,130 Closed
BCM
305
Beck Capital Management
Texas
-$796K -20,634 Closed
WB
306
WesBanco Bank
West Virginia
-$779K -20,196 Closed
GIA
307
Gladstone Institutional Advisory
Florida
-$763K -19,782 Closed
ACM
308
Avalon Capital Management
California
-$345K -8,952 Closed
TC
309
Telemus Capital
Michigan
-$339K -8,778 Closed
W
310
WealthOne
New York
-$330K -8,562 Closed
ZIM
311
Zacks Investment Management
Illinois
-$313K -8,112 Closed
MIH
312
Meitav Investment House
Israel
-$262K -6,840 Closed
AP
313
Advisors Preferred
Maryland
-$255K -6,606 Closed
ACM
314
Allred Capital Management
Texas
-$206K -5,352 Closed
CMO
315
Covenant Multifamily Offices
Texas
-$82K -2,130 Closed
CG
316
Cutler Group
California
-$45.2K -1,194 Closed
WAM
317
Wealthspire Advisors (Maryland)
Maryland
-$36K -942 Closed
CAM
318
Cresset Asset Management
Illinois
-$29K -762 Closed
WCM
319
WealthBridge Capital Management
Ohio
-$26K -690 Closed
CFN
320
Cordasco Financial Network
Florida
-$20K -534 Closed
PCG
321
Private Capital Group
Connecticut
-$14K -366 Closed
CFA
322
Camarda Financial Advisors
Florida
-$9K -228 Closed
PFGIA
323
Patriot Financial Group Insurance Agency
Massachusetts
-$7K -180 Closed
FWM
324
Focused Wealth Management
New York
-$5K -120 Closed
RTC
325
Riverview Trust Company
Washington
-$3K -78 Closed