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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
SFI
376
SPC Financial Inc
Maryland
$237K
PF
377
Phoenix Financial
Israel
$237K -$21.7M -380,444 -99%
SPW
378
Sonoma Private Wealth
California
$237K
TWP
379
Tyche Wealth Partners
Texas
$237K
PB
380
Pinnacle Bancorp
Nebraska
$235K +$210K +3,672 +1,275%
CFGS
381
Concourse Financial Group Securities
Alabama
$234K -$1.54K -27 -0.7%
Bank of New York Mellon
382
Bank of New York Mellon
New York
$233K +$224K +3,927 New
FFN
383
Focus Financial Network
Minnesota
$231K
ANTB
384
AMG National Trust Bank
Colorado
$230K -$222K -3,888 -50%
CT
385
Colonial Trust
South Carolina
$228K
KWS
386
Keystone Wealth Services
California
$223K +$215K +3,771 New
FCA
387
FLC Capital Advisors
California
$223K
AWA
388
Acorn Wealth Advisors
Michigan
$222K -$22.4K -392 -9%
CCA
389
Cadent Capital Advisors
Oklahoma
$221K +$286 +5 +0.1%
WWM
390
Western Wealth Management
Colorado
$219K -$11.8K -207 -5%
PFG
391
Prosperity Financial Group
California
$219K -$914 -16 -0.4%
MW
392
Marcum Wealth
Ohio
$213K -$2.51K -44 -1%
OCM
393
One Capital Management
California
$212K +$205K +3,583 New
SA
394
Strategic Advocates
Utah
$212K
LG
395
LaFleur & Godfrey
Michigan
$212K +$204K +3,577 New
MGIA
396
Moneta Group Investment Advisors
Missouri
$212K +$204K +3,576 New
HWM
397
Heirloom Wealth Management
Colorado
$212K -$202K -3,544 -50%
AWE
398
Avidian Wealth Enterprises
Texas
$211K +$204K +3,569 New
HNB
399
Hilltop National Bank
Wyoming
$211K
MCA
400
Martin Capital Advisors
Texas
$210K +$202K +3,545 New