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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
JSC
451
Jackson Square Capital
California
$212K -$154K -2,772 -42%
NCM
452
Novare Capital Management
North Carolina
$212K +$213K +3,846 New
MWA
453
Meridian Wealth Advisors
Texas
$210K -$8.32K -150 -4%
SBSB
454
Sullivan, Bruyette, Speros & Blaney
Virginia
$210K
TC
455
Telemus Capital
Michigan
$210K
PGAM
456
Princeton Global Asset Management
New Jersey
$210K +$15K +270 +8%
CPIG
457
Chicago Partners Investment Group
Illinois
$207K +$191K +3,438 New
LRIA
458
Leonard Rickey Investment Advisors
Washington
$204K -$64.9K -1,170 -24%
BFC
459
Bedel Financial Consulting
Indiana
$195K
EDRH
460
Edmond de Rothschild Holding
Switzerland
$195K +$161K +2,910 +462%
DWP
461
Destiny Wealth Partners
Florida
$189K -$6.66K -120 -3%
Simplex Trading
462
Simplex Trading
Illinois
$172K +$174K +3,138 New
RG
463
Retirement Group
California
$171K
CA
464
Clearstead Advisors
Ohio
$167K
RFA
465
Reilly Financial Advisors
California
$165K
CWP
466
Concord Wealth Partners
Virginia
$161K -$1.57M -28,380 -91%
GLLW
467
Graves Light Lenhart Wealth
Virginia
$160K +$43.3K +780 +37%
TC
468
Truvestments Capital
Florida
$157K +$49.9K +900 +46%
AIC
469
Archer Investment Corporation
Indiana
$152K +$59.9K +1,080 +64%
BFO
470
Biltmore Family Office
North Carolina
$149K
HI
471
Hudock Inc
Pennsylvania
$143K
KFS
472
Kelly Financial Services
Massachusetts
$120K +$14.3K +258 +13%
EP
473
Eudaimonia Partners
Tennessee
$117K -$998 -18 -0.8%
VFA
474
Valeo Financial Advisors
Indiana
$112K -$17K -306 -13%
BWM
475
Baystate Wealth Management
Massachusetts
$112K +$59.6K +1,074 +112%