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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
PWA
326
PCG Wealth Advisors
Kansas
$470K +$2.02K +37 +0.4%
AA
327
Ancora Advisors
Ohio
$469K -$25.6K -470 -5%
OCM
328
One Capital Management
California
$464K -$67K -1,230 -12%
ACM
329
Advisors Capital Management
New Jersey
$462K +$93.5K +1,715 +23%
SI
330
Stephens Inc
Arkansas
$457K -$12.9K -237 -3%
KFS
331
Kaizen Financial Strategies
California
$456K
PTC
332
Private Trust Company
Ohio
$455K +$492K +9,030 New
WW
333
Westshore Wealth
California
$454K
EFSCE
334
Enterprise Financial Services Corp (EFSC)
Missouri
$448K -$7.74K -142 -2%
WPC
335
Wedmont Private Capital
Pennsylvania
$445K
PM
336
Phraction Management
Connecticut
$437K +$95.4K +1,750 +25%
MSAM
337
Moloney Securities Asset Management
Missouri
$435K
BWM
338
Bulltick Wealth Management
Florida
$427K
RWMH
339
Riverpoint Wealth Management Holdings
Illinois
$424K
RIA
340
Realta Investment Advisors
Delaware
$424K +$10.9K +200 +2%
Millennium Management
341
Millennium Management
New York
$421K +$455K +8,352 New
FCH
342
Freestone Capital Holdings
Washington
$420K -$87.3K -1,601 -16%
TWC
343
TD Waterhouse Canada
Ontario, Canada
$413K +$121K +2,222 +41%
FFWM
344
Future Financial Wealth Management
Ohio
$412K
AL
345
Aspiriant LLC
California
$410K
AWM
346
Apollon Wealth Management
South Carolina
$409K -$1.09K -20 -0.2%
GEA
347
Glen Eagle Advisors
New Jersey
$407K -$7.47K -137 -2%
MHR
348
Matthew Hamilton Rosenberg
$406K
FIA
349
Foundations Investment Advisors
Arizona
$405K +$430K +7,881 New
AFS
350
Access Financial Services
Minnesota
$402K +$13K +238 +3%