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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
FFA
451
Founders Financial Alliance
North Carolina
$78.1K -$3.86K -79 -5%
FP
452
Financial Perspectives
Minnesota
$77.9K +$49 +1 +0.1%
SA
453
Scarborough Advisors
Maryland
$77.6K +$70.2K +1,438 New
BlackRock
454
BlackRock
New York
$77K -$1.61K -33 -2%
RG
455
Retirement Group
California
$75.6K -$73.7K -1,508 -52%
IGWM
456
ICA Group Wealth Management
Colorado
$67.7K +$61.3K +1,255 New
Franklin Resources
457
Franklin Resources
California
$65.8K
AT
458
Avalon Trust
New Mexico
$64.8K
BWP
459
Baldwin Wealth Partners
Massachusetts
$63.3K
AIMA
460
Ables Iannone Moore & Associates
Georgia
$59.4K +$53.7K +1,100 New
ACA
461
Atlas Capital Advisors
Wyoming
$57.9K
OIA
462
Optimum Investment Advisors
Illinois
$57.6K
PAG
463
Paladin Advisory Group
Iowa
$55K -$48.9K -1,002 -50%
SIS
464
Sound Income Strategies
Florida
$53.6K +$4.35K +89 +10%
CYG
465
Clean Yield Group
Vermont
$52.9K -$4.88K -100 -9%
AI
466
Arvest Investments
Arkansas
$51.8K +$46.8K +959 New
GIA
467
GHP Investment Advisors
Colorado
$50.4K
NSG
468
Nalls Sherbakoff Group
Tennessee
$49.6K
TFGT
469
TS Financial Group (TSFG)
Illinois
$49K
Amundi
470
Amundi
France
$48.6K
TC
471
Truvestments Capital
Florida
$48.6K
PS
472
Planned Solutions
California
$48.6K +$44K +900 New
AWM
473
Avior Wealth Management
Nebraska
$47.5K +$147 +3 +0.3%
EWM
474
EPG Wealth Management
Georgia
$46.4K -$1.76K -36 -4%
CTA
475
Colonial Trust Advisors
South Carolina
$45.7K +$98 +2 +0.2%