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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
GS
176
GTS Securities
Florida
$843K -$7.57M -123,714 -90%
NFG
177
Nations Financial Group
Iowa
$840K -$115K -1,873 -12%
FTS
178
Fifth Third Securities
Ohio
$835K -$4.02M -65,682 -83%
CIC
179
Carnegie Investment Counsel
Ohio
$825K
VVP
180
Venture Visionary Partners
Ohio
$819K
IC
181
IEQ Capital
California
$799K +$813K +13,296 New
SF
182
Summit Financial
New Jersey
$794K +$82.6K +1,350 +11%
OC
183
Oppenheimer & Co
New York
$788K -$97K -1,585 -11%
WFS
184
WealthGarden F.S.
California
$767K
RA
185
RFG Advisory
Alabama
$767K +$14.3K +234 +2%
CL
186
Choreo LLC
Illinois
$766K -$19.3K -316 -2%
ST
187
Spinnaker Trust
Maine
$757K
Cerity Partners
188
Cerity Partners
New York
$736K -$591K -9,663 -44%
SWP
189
Sagespring Wealth Partners
Tennessee
$731K
GPA
190
Guerra Pan Advisors
New Jersey
$719K
SA
191
Sovran Advisors
California
$717K -$26.3K -430 -4%
SPC
192
Sigma Planning Corp
Michigan
$712K -$75.6K -1,236 -9%
SA
193
Sanctuary Advisors
Indiana
$710K -$101K -1,658 -12%
MF
194
Montis Financial
Massachusetts
$707K -$281K -4,593 -28%
KWA
195
Kingswood Wealth Advisors
California
$706K +$206K +3,364 +40%
OAJ
196
Ogorek Anthony Joseph
New York
$705K -$20.4K -334 -3%
BPA
197
Beacon Pointe Advisors
California
$705K +$299K +4,888 +71%
SI
198
Sava Infond
Slovenia
$705K
NP
199
NorthRock Partners
Minnesota
$705K +$12.8K +210 +2%
AWS
200
Aspen Wealth Strategies
Colorado
$701K +$2.51K +41 +0.4%