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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
NP
326
NorthRock Partners
Minnesota
$386K
CWS
327
Cypress Wealth Services
California
$386K -$73.5K -1,381 -16%
OCM
328
One Capital Management
California
$384K -$19.2K -360 -5%
CW
329
CreativeOne Wealth
Kansas
$380K -$23.8K -447 -6%
PWM
330
Perigon Wealth Management
California
$379K +$160 +3 +0%
ACM
331
Advisors Capital Management
New Jersey
$378K -$2.08K -39 -0.6%
Marshall Wace
332
Marshall Wace
United Kingdom
$371K -$2.5M -47,036 -87%
BSW
333
Buckingham Strategic Wealth
Missouri
$359K
WG
334
Welch Group
Alabama
$358K -$2.56K -48 -0.7%
MFG
335
Merit Financial Group
Georgia
$355K +$350K +6,571 New
SFA
336
Source Financial Advisors
New York
$352K -$338K -6,354 -49%
FFN
337
Focus Financial Network
Minnesota
$352K -$85.5K -1,606 -20%
GM
338
GeoWealth Management
Illinois
$352K -$64.2K -1,206 -16%
BBWP
339
Beacon Bridge Wealth Partners
Pennsylvania
$349K -$76.7K -1,440 -18%
LA
340
LexAurum Advisors
Kansas
$347K +$53 +1 +0%
PFO
341
Pathstone Family Office
New Jersey
$344K -$41.2K -773 -11%
PCM
342
Pennsylvania Capital Management
Pennsylvania
$342K -$167K -3,133 -33%
FAP
343
Financial Advisory Partners
Florida
$340K
TFS
344
Thoroughbred Financial Services
Tennessee
$336K +$50.8K +955 +18%
PCA
345
Pallas Capital Advisors
Massachusetts
$335K -$2.43M -45,636 -89%
PFS
346
Prospera Financial Services
Texas
$334K -$53 -1 -0%
CFA
347
Cahill Financial Advisors
Minnesota
$330K -$33.6K -631 -9%
SVWAG
348
Sound View Wealth Advisors Group
Georgia
$330K -$52.3K -982 -14%
SG
349
StoneX Group
New York
$324K -$303K -5,691 -49%
HWM
350
HFR Wealth Management
New York
$324K