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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
T
326
TNF
Montana
$368K -$23.9K -450 -5%
WPC
327
Wedmont Private Capital
Pennsylvania
$368K
KIA
328
KCM Investment Advisors
California
$367K
SF
329
Summit Financial
New Jersey
$365K
HIA
330
Harbor Investment Advisory
Maryland
$357K
CCA
331
Column Capital Advisors
Indiana
$354K +$130K +2,441 +50%
WWP
332
WR Wealth Planners
Missouri
$351K -$1.81K -34 -0.5%
TSS
333
Two Sigma Securities
New York
$351K +$385K +7,232 New
DAM
334
Delta Asset Management
Tennessee
$349K
SRC
335
Shufro Rose & Co
New York
$349K
MSAM
336
Moloney Securities Asset Management
Missouri
$344K -$20.7K -390 -5%
C1AG
337
Client 1st Advisory Group
Florida
$337K -$92.6K -1,741 -20%
OA
338
Operose Advisors
Wisconsin
$331K +$363K +6,818 New
IWC
339
Integrated Wealth Concepts
Massachusetts
$329K -$5.26K -99 -1%
SFA
340
Source Financial Advisors
New York
$326K +$11.4K +215 +3%
GM
341
GeoWealth Management
Illinois
$326K +$11.4K +215 +3%
WG
342
Welch Group
Alabama
$322K
CPIG
343
Chicago Partners Investment Group
Illinois
$316K
OCM
344
One Capital Management
California
$315K -$2.02K -38 -0.6%
TFS
345
Thoroughbred Financial Services
Tennessee
$312K +$17.9K +336 +6%
RIA
346
Realta Investment Advisors
Delaware
$310K +$16K +300 +6%
PFO
347
Pathstone Family Office
New Jersey
$310K -$79.7K -1,499 -19%
MIFH
348
Migdal Insurance & Financial Holdings
Israel
$309K -$600K -11,284 -64%
DE
349
Day & Ennis
Georgia
$307K -$4.79K -90 -1%
FAP
350
Financial Advisory Partners
Florida
$306K