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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
HF
351
HRT Financial
New York
$357K -$2.37M -43,088 -87%
FAP
352
Financial Advisory Partners
Florida
$356K
SVWAG
353
Sound View Wealth Advisors Group
Georgia
$350K +$5.18K +94 +2%
PFS
354
Prospera Financial Services
Texas
$349K
SFP
355
Sandbox Financial Partners
Maryland
$348K +$129K +2,346 +61%
CFA
356
Cahill Financial Advisors
Minnesota
$346K +$165 +3 +0%
TFS
357
Thoroughbred Financial Services
Tennessee
$344K -$7.11K -129 -2%
MCA
358
Martin Capital Advisors
Texas
$342K +$3.36K +61 +1%
AWM
359
Avitas Wealth Management
California
$342K +$3.14K +57 +1%
AWM
360
Axxcess Wealth Management
California
$341K +$333K +6,037 New
HWM
361
HFR Wealth Management
New York
$339K
IFO
362
Independent Family Office
New York
$339K
PP
363
Patten & Patten
Tennessee
$338K
MPW
364
MA Private Wealth
California
$335K
PVH
365
Psagot Value Holdings
Israel
$335K +$327K +5,940 New
AA
366
Advisory Alpha
Michigan
$334K +$114K +2,076 +54%
CWS
367
Cypress Wealth Services
California
$334K -$68.4K -1,241 -17%
LA
368
LexAurum Advisors
Kansas
$330K -$32.5K -590 -9%
SG
369
StoneX Group
New York
$325K -$13.5K -246 -4%
NP
370
NorthRock Partners
Minnesota
$324K -$78K -1,416 -20%
BBWP
371
Beacon Bridge Wealth Partners
Pennsylvania
$324K -$40.1K -728 -11%
Walleye Trading
372
Walleye Trading
New York
$320K +$313K +5,675 New
FFN
373
Focus Financial Network
Minnesota
$317K -$50K -907 -14%
HWM
374
Howard Wealth Management
Connecticut
$317K
AFFA
375
ALM First Financial Advisors
Texas
$314K +$306K +5,554 New