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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
LSA
326
L & S Advisors
California
$439K +$428K +7,767 New
WPC
327
Wedmont Private Capital
Pennsylvania
$437K
KIA
328
KCM Investment Advisors
California
$427K
JSW
329
Journey Strategic Wealth
New Jersey
$426K -$29.9K -543 -7%
SF
330
Summit Financial
New Jersey
$424K +$414K +7,518 New
MSAM
331
Moloney Securities Asset Management
Missouri
$423K -$54.3K -986 -12%
HIA
332
Harbor Investment Advisory
Maryland
$415K
CS
333
Credit Suisse
Switzerland
$411K -$748K -13,576 -65%
WWP
334
WR Wealth Planners
Missouri
$411K -$49.2K -894 -11%
DAM
335
Delta Asset Management
Tennessee
$407K
SRC
336
Shufro Rose & Co
New York
$407K
BWM
337
BigSur Wealth Management
Florida
$405K
EE
338
EWG Elevate
California
$399K +$389K +7,060 New
ACM
339
Advisors Capital Management
New Jersey
$398K +$2.59K +47 +0.7%
IWC
340
Integrated Wealth Concepts
Massachusetts
$389K +$126K +2,293 +50%
CPIG
341
Chicago Partners Investment Group
Illinois
$377K +$378K +6,863 New
DIP
342
Davis Investment Partners
North Carolina
$375K +$362K +6,577 New
WG
343
Welch Group
Alabama
$374K
TRCT
344
Tower Research Capital (TRC)
New York
$370K -$4.09M -74,171 -92%
OCM
345
One Capital Management
California
$369K -$32.1K -582 -8%
GM
346
GeoWealth Management
Illinois
$368K -$606 -11 -0.2%
SFA
347
Source Financial Advisors
New York
$368K -$606 -11 -0.2%
SB
348
Strategic Blueprint
Georgia
$365K -$41.1K -747 -10%
DE
349
Day & Ennis
Georgia
$363K -$128K -2,320 -27%
GS
350
GTS Securities
Florida
$361K +$352K +6,397 New