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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
SSB
126
Sandy Spring Bank
Maryland
$11K
RPG
127
Risk Paradigm Group
Texas
$10.9K +$10.5K +432 New
MPWT
128
MassMutual Private Wealth & Trust
Connecticut
$10.8K +$1.89K +78 +22%
APSP
129
Asset Planning Services (Pennsylvania)
Pennsylvania
$10K +$9.46K +390 New
PB
130
Pinnacle Bancorp
Nebraska
$10K +$9.89K +408 New
ASN
131
Advisory Services Network
Georgia
$9K +$8.44K +348 New
NFG
132
Next Financial Group
Texas
$8K -$26.9K -1,110 -79%
AWM
133
AllSquare Wealth Management
New York
$8K
GRP
134
Global Retirement Partners
California
$8K
US Bancorp
135
US Bancorp
Minnesota
$4K -$294K -12,132 -99%
AF
136
Allworth Financial
California
$4K +$3.93K +162 New
AssetMark Inc
137
AssetMark Inc
California
$4K +$3.93K +162 New
AIM
138
Advantage Investment Management
Iowa
$2K +$1.6K +66 New
TFA
139
Transamerica Financial Advisors
Florida
$1K
CG
140
Colony Group
Massachusetts
-$6.48M -291,840 Closed
Chevy Chase Trust
141
Chevy Chase Trust
Maryland
-$3.04M -136,998 Closed
ECML
142
Eagle Capital Management (Louisiana)
Louisiana
-$2.78M -125,088 Closed
Susquehanna International Group
143
Susquehanna International Group
Pennsylvania
-$1.17M -52,914 Closed
DBIA
144
Dumont & Blake Investment Advisors
New Jersey
-$927K -41,760 Closed
OTC
145
Opera Trading Capital
France
-$173K -7,800 Closed
CG
146
Cutler Group
California
-$131K -5,400 Closed
SIG
147
Stanford Investment Group
California
-$83K -3,750 Closed
IWA
148
IBEX Wealth Advisors
New Jersey
-$37K -1,614 Closed
YWP
149
YorkBridge Wealth Partners
New York
-$7K -300 Closed
ATC
150
Adirondack Trust Company
New York
-$3K -156 Closed