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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
JCM
201
Jacobi Capital Management
Pennsylvania
$220K -$1.09K -30 -0.5%
LNC
202
Lincoln National Corp
Pennsylvania
$217K +$204K +5,628 New
AI
203
Atria Investments
North Carolina
$216K -$234K -6,438 -54%
CBFP
204
Cedar Brook Financial Partners
Ohio
$212K +$199K +5,490 New
AFNAS
205
American Financial Network Advisory Services
California
$212K +$203K +5,580 New
ACP
206
Aveo Capital Partners
Colorado
$210K -$2.68M -73,926 -93%
Prudential Financial
207
Prudential Financial
New Jersey
$210K -$723K -19,920 -79%
AL
208
Aspiriant LLC
California
$206K +$194K +5,340 New
ACM
209
Allred Capital Management
Texas
$206K +$194K +5,352 New
PV
210
Private Vista
Illinois
$205K +$193K +5,316 New
RFWA
211
RPg Family Wealth Advisory
Massachusetts
$198K +$186K +5,124 New
1IA
212
1834 Investment Advisors
Wisconsin
$197K -$6.75K -186 -4%
BFC
213
Bedel Financial Consulting
Indiana
$196K
CFA
214
Carroll Financial Associates
North Carolina
$192K +$181K +4,986 New
PWM
215
PRW Wealth Management
Massachusetts
$185K
CWA
216
Clarus Wealth Advisors
Arizona
$177K +$167K +4,596 New
CT
217
Clearstead Trust
Maine
$163K
RWA
218
Ropes Wealth Advisors
Massachusetts
$157K -$17.2K -474 -10%
PCM
219
Princeton Capital Management
New Jersey
$150K
FANJ
220
Financial Architects (New Jersey)
New Jersey
$144K -$17.2K -474 -11%
VNA
221
Valley National Advisers
Pennsylvania
$140K +$113K +3,126 +628%
AIC
222
Archer Investment Corporation
Indiana
$119K
RFA
223
Reilly Financial Advisors
California
$116K
US Bancorp
224
US Bancorp
Minnesota
$111K -$149K -4,110 -59%
PCM
225
Prelude Capital Management
New York
$107K +$100K +2,760 New