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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
XT
176
XTX Topco
Cayman Islands
$751K +$772K +15,199 New
VVP
177
Venture Visionary Partners
Ohio
$744K +$73.1K +1,439 +11%
CIA
178
Concurrent Investment Advisors
Florida
$741K +$111K +2,178 +17%
SA
179
Sovran Advisors
California
$714K +$113K +2,234 +20%
ASN
180
Advisory Services Network
Georgia
$700K -$37.3K -734 -5%
SG Americas Securities
181
SG Americas Securities
New York
$687K +$706K +13,909 New
Lido Advisors
182
Lido Advisors
California
$682K -$19.5K -384 -3%
SFCM
183
Seven Fleet Capital Management
California
$682K +$701K +13,800 New
CL
184
Choreo LLC
Illinois
$669K -$49.5K -976 -7%
SCA
185
Snowden Capital Advisors
New York
$661K -$47.9K -943 -7%
PA
186
Parallel Advisors
California
$649K -$56.9K -1,120 -8%
WA
187
WP Advisors
California
$647K -$275K -5,426 -29%
VRM
188
Vectors Research Management
New York
$640K -$25.5K -502 -4%
MCA
189
MSH Capital Advisors
Arizona
$629K +$646K +12,728 New
CWM
190
Connecticut Wealth Management
Connecticut
$626K -$57.1K -1,124 -8%
NS
191
NBC Securities
Alabama
$623K +$264K +5,199 +70%
ST
192
Spinnaker Trust
Maine
$623K – – –
Northern Trust
193
Northern Trust
Illinois
$613K – – –
AWMT
194
AAFMAA Wealth Management & Trust
North Carolina
$602K +$59K +1,162 +11%
BPA
195
Beacon Pointe Advisors
California
$599K +$30.9K +608 +5%
VPW
196
Variant Private Wealth
Virginia
$599K -$4.57K -90 -0.7%
GPA
197
Guerra Pan Advisors
New Jersey
$591K – – –
IA
198
Integrity Alliance
Iowa
$582K +$15.3K +301 +3%
MC
199
Mathes Company
New York
$582K -$244K -4,800 -29%
HWM
200
HB Wealth Management
Georgia
$580K +$34.2K +673 +6%