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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
CIA
176
Concurrent Investment Advisors
Florida
$983K +$279K +4,524 +40%
TSWM
177
Triangle Securities Wealth Management
North Carolina
$972K
TA
178
TruWealth Advisors
Louisiana
$967K -$31.7K -513 -3%
BHB
179
Bank Hapoalim BM
Israel
$965K -$41.9K -678 -4%
Brown Advisory
180
Brown Advisory
Maryland
$951K
Cerity Partners
181
Cerity Partners
New York
$942K +$179K +2,897 +24%
LAM
182
LOM Asset Management
$916K +$9.26K +150 +1%
ASN
183
Advisory Services Network
Georgia
$898K +$445K +7,216 +100%
DFA
184
Delta Financial Advisors
Louisiana
$896K +$243K +3,929 +37%
S4W
185
Solutions 4 Wealth
Texas
$890K -$58.8K -953 -6%
AAP
186
Arax Advisory Partners
Colorado
$884K +$878K +14,229 New
PA
187
Parallel Advisors
California
$883K -$75.6K -1,225 -8%
BCM
188
Brookstone Capital Management
Illinois
$877K -$125K -2,028 -13%
CWM
189
Connecticut Wealth Management
Connecticut
$863K +$158K +2,564 +23%
PCA
190
Peddock Capital Advisors
Massachusetts
$851K +$846K +13,698 New
IMC Chicago
191
IMC Chicago
Illinois
$851K +$845K +13,693 New
FTS
192
Fifth Third Securities
Ohio
$848K -$15.9K -257 -2%
VVP
193
Venture Visionary Partners
Ohio
$847K
CIC
194
Carnegie Investment Counsel
Ohio
$845K -$8.58K -139 -1%
NFG
195
Nations Financial Group
Iowa
$839K -$29.7K -481 -3%
BPA
196
Beacon Pointe Advisors
California
$834K +$104K +1,690 +14%
CL
197
Choreo LLC
Illinois
$809K +$10.8K +175 +1%
MA
198
Mutual Advisors
Nebraska
$807K -$55.8K -904 -7%
OC
199
Oppenheimer & Co
New York
$788K -$26.6K -431 -3%
ST
200
Spinnaker Trust
Maine
$783K