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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
CWM
401
Campbell Wealth Management
Virginia
$333K
HWM
402
Howard Wealth Management
Connecticut
$329K -$7.34K -115 -2%
TSS
403
Two Sigma Securities
New York
$328K -$156K -2,443 -32%
SL
404
SWMG LLC
Texas
$324K +$62K +972 +23%
CG
405
Colony Group
Massachusetts
$322K -$766 -12 -0.2%
BWM
406
BigSur Wealth Management
Florida
$322K
WF
407
Williams Financial
Vermont
$310K +$12.3K +193 +4%
MPCG
408
Matrix Private Capital Group
New York
$309K +$314K +4,922 New
CCA
409
Column Capital Advisors
Indiana
$304K
VAS
410
Vestmark Advisory Solutions
Massachusetts
$301K +$39.5K +619 +15%
SFP
411
Sterling Financial Planning
New Jersey
$300K -$7.21K -113 -2%
MWM
412
Mattern Wealth Management
Kansas
$299K -$1.52M -23,820 -83%
AIM
413
Acropolis Investment Management
Missouri
$296K
MW
414
Marcum Wealth
Ohio
$296K +$3.06K +48 +1%
TP
415
Tranquility Partners
Tennessee
$295K +$300K +4,700 New
RG
416
Rathbones Group
United Kingdom
$294K
CA
417
Clearstead Advisors
Ohio
$293K +$104K +1,630 +54%
LWA
418
Lineweaver Wealth Advisors
Ohio
$289K -$17.9K -280 -6%
1IA
419
1834 Investment Advisors
Wisconsin
$286K
PWM
420
PRW Wealth Management
Massachusetts
$283K +$287K +4,500 New
FUBT
421
First United Bank & Trust
Maryland
$282K -$19.3K -303 -6%
CFG
422
Cooper Financial Group
California
$278K -$27.2K -427 -9%
VA
423
Valmark Advisers
Ohio
$276K +$30.2K +473 +12%
IFS
424
Ifrah Financial Services
Arkansas
$264K -$128 -2 -0%
HFS
425
Howard Financial Services
Texas
$262K +$128 +2 +0%