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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
FP
426
Financial Perspectives
Minnesota
$63.2K
HPC
427
HM Payson & Co
Maine
$57K
VRM
428
Vectors Research Management
New York
$56K +$54.6K +1,128 New
CH
429
Canton Hathaway
Rhode Island
$53K
APWM
430
Atlas Private Wealth Management
New York
$52K
TFGT
431
TS Financial Group (TSFG)
Illinois
$52K
SSB
432
Sandy Spring Bank
Maryland
$48K -$65.7K -1,356 -58%
HH
433
HWG Holdings
Texas
$48K -$3.78K -78 -7%
NFSG
434
Newbridge Financial Services Group
Florida
$46K +$44.7K +924 New
MRCM
435
M&R Capital Management
New Jersey
$45K
PS
436
Planned Solutions
California
$45K +$43.6K +900 New
AF
437
Allworth Financial
California
$43K -$10.5K -216 -20%
Franklin Resources
438
Franklin Resources
California
$43K +$10.2K +210 +32%
MIM
439
Macroview Investment Management
Maryland
$42K +$36K +744 +827%
EIP
440
Ellis Investment Partners
Pennsylvania
$41K
MA
441
MUFG Americas
New York
$38K
FPB
442
First PREMIER Bank
South Dakota
$37K
AWM
443
AllSquare Wealth Management
New York
$35K
PCA
444
Providence Capital Advisors
North Carolina
$34K -$9.01K -186 -21%
KFS
445
Kelly Financial Services
Massachusetts
$33.9K +$29.3K +606 +842%
CWC
446
Carolinas Wealth Consulting
North Carolina
$32K +$2.32K +48 +8%
GWS
447
Glassman Wealth Services
Virginia
$30K
SBL
448
Sargent Bickham Lagudis
Colorado
$30K
GTAM
449
Global Trust Asset Management
Florida
$30K +$21.8K +450 +300%
Simplex Trading
450
Simplex Trading
Illinois
$27K -$71.8K -1,482 -73%