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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
JSC
426
Jackson Square Capital
California
$214K
WWM
427
Western Wealth Management
Colorado
$213K -$2.09K -38 -1%
PWS
428
Peterson Wealth Services
Utah
$213K -$2.35M -42,706 -92%
WANY
429
Wealthspire Advisors (New York)
New York
$212K -$1.98K -36 -0.9%
SPW
430
Sonoma Private Wealth
California
$209K +$204K +3,704 New
SIC
431
Salem Investment Counselors
North Carolina
$207K -$1M -18,207 -83%
AF
432
Allworth Financial
California
$207K +$1.27K +23 +0.6%
BFG
433
Bleakley Financial Group
New Jersey
$206K +$201K +3,654 New
WA
434
WBH Advisory
Maryland
$204K +$199K +3,606 New
VFA
435
Valeo Financial Advisors
Indiana
$203K -$17.6K -320 -8%
GC
436
Gibson Capital
Pennsylvania
$203K
HFS
437
Howard Financial Services
Texas
$202K +$197K +3,585 New
CMS
438
Capital Market Strategies
Florida
$202K +$197K +3,580 New
CFG
439
Citizens Financial Group
Rhode Island
$194K +$189K +3,436 New
CT
440
Clearstead Trust
Maine
$184K
EL
441
EMFO LLC
Florida
$175K
MHR
442
Matthew Hamilton Rosenberg
$168K -$260K -4,716 -61%
WAM
443
Worth Asset Management
Texas
$163K
BFO
444
Biltmore Family Office
North Carolina
$152K
PAG
445
Paladin Advisory Group
Iowa
$152K
CT
446
Cambridge Trust
Massachusetts
$151K
LFG
447
Larson Financial Group
Missouri
$149K +$7.16K +130 +5%
RG
448
Retirement Group
California
$143K +$110 +2 +0.1%
GT
449
Glenmede Trust
Pennsylvania
$140K
BA
450
Ballast Advisors
Minnesota
$137K -$174K -3,158 -57%