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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
SF
326
Summit Financial
New Jersey
$392K -$12.6K -258 -3%
DAM
327
Delta Asset Management
Tennessee
$389K
PWM
328
Perigon Wealth Management
California
$388K -$67.3K -1,378 -16%
AF
329
Advisornet Financial
Minnesota
$385K -$127K -2,603 -27%
MSAM
330
Moloney Securities Asset Management
Missouri
$383K
SVWAG
331
Sound View Wealth Advisors Group
Georgia
$383K +$79.8K +1,634 +30%
GRP
332
Global Retirement Partners
California
$383K -$289K -5,919 -46%
KDA
333
Kraft Davis & Associates
Missouri
$383K -$113K -2,317 -25%
CS
334
Credit Suisse
Switzerland
$379K -$294K -6,010 -46%
ATC
335
Advantage Trust Company
Kansas
$376K +$340K +6,960 New
C1AG
336
Client 1st Advisory Group
Florida
$374K -$488 -10 -0.1%
CPIG
337
Chicago Partners Investment Group
Illinois
$364K -$8.55K -175 -3%
TC
338
Telemus Capital
Michigan
$362K +$328K +6,715 New
Tudor Investment Corp
339
Tudor Investment Corp
Connecticut
$362K +$327K +6,700 New
WG
340
Welch Group
Alabama
$358K
GM
341
GeoWealth Management
Illinois
$352K -$10.3K -210 -3%
SFA
342
Source Financial Advisors
New York
$352K -$10.3K -210 -3%
Koshinski Asset Management
343
Koshinski Asset Management
Illinois
$348K -$106K -2,160 -25%
FAP
344
Financial Advisory Partners
Florida
$340K
ST
345
Sabal Trust
Florida
$338K +$306K +6,260 New
CAM
346
Cresset Asset Management
Illinois
$337K +$50.3K +1,030 +20%
AWM
347
Avitas Wealth Management
California
$330K +$3.22K +66 +1%
HWM
348
HFR Wealth Management
New York
$324K
CFA
349
Cahill Financial Advisors
Minnesota
$324K +$440 +9 +0.2%
PP
350
Patten & Patten
Tennessee
$323K