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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
Mirae Asset Global Investments
201
Mirae Asset Global Investments
South Korea
$1.61M
CSWG
202
Cardinal Strategic Wealth Guidance
Kentucky
$1.6M +$366K +6,139 +30%
MPW
203
MA Private Wealth
California
$1.6M -$914K -15,335 -37%
SHJ
204
Sharkey, Howes & Javer
Colorado
$1.59M
BCM
205
Brookstone Capital Management
Illinois
$1.57M -$25.8K -432 -2%
IFWM
206
Institute for Wealth Management
Colorado
$1.57M +$48K +805 +3%
SS
207
Sunbelt Securities
Texas
$1.54M -$2.62K -44 -0.2%
BRWA
208
B. Riley Wealth Advisors
Florida
$1.52M -$792K -13,284 -35%
AI
209
Atria Investments
North Carolina
$1.51M -$1.3M -21,823 -47%
PSF
210
Pacific Sun Financial
California
$1.51M +$270K +4,524 +22%
CBFP
211
Cedar Brook Financial Partners
Ohio
$1.5M +$92.9K +1,558 +7%
National Bank of Canada
212
National Bank of Canada
Quebec, Canada
$1.49M +$84.8K +1,423 +6%
RFC
213
Regions Financial Corp
Alabama
$1.48M -$17.5K -294 -1%
PFP
214
Paragon Financial Partners
California
$1.47M -$14.8K -249 -1%
FANJ
215
Financial Architects (New Jersey)
New Jersey
$1.45M -$86.4K -1,449 -6%
SIC
216
Salem Investment Counselors
North Carolina
$1.44M -$3.7K -62 -0.3%
CCFM
217
Clear Creek Financial Management
Washington
$1.43M -$306K -5,127 -18%
Vontobel Holding
218
Vontobel Holding
Switzerland
$1.41M +$387K +6,500 +39%
OPS
219
Orion Portfolio Solutions
Nebraska
$1.39M +$28.1K +472 +2%
Citigroup
220
Citigroup
New York
$1.39M -$1.56M -26,147 -53%
CAG
221
Csenge Advisory Group
Florida
$1.39M +$1.29M +21,690 +2,074%
IFG
222
Independent Financial Group
California
$1.38M -$266K -4,464 -16%
PCFFS
223
Pacific Center for Financial Services
California
$1.38M -$21.6K -362 -2%
FSA
224
Financial Sense Advisors
California
$1.38M +$1.35M +22,602 New
BKA
225
Brick & Kyle Associates
Pennsylvania
$1.34M +$60 +1 +0%