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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
Bank of Nova Scotia
1
Bank of Nova Scotia
Ontario, Canada
$154M +$59.1M +2,730,090 +67%
CI
2
Clal Insurance
Israel
$105M -$481K -22,200 -0.5%
Morgan Stanley
3
Morgan Stanley
New York
$45.2M -$5.15M -237,606 -11%
HI
4
Horizon Investments
North Carolina
$45M +$43.1M +1,991,658 New
Bank of Montreal
5
Bank of Montreal
Ontario, Canada
$44.2M +$42.1M +1,944,150 +15,791%
Mirae Asset Global Investments
6
Mirae Asset Global Investments
South Korea
$43.7M -$767K -35,400 -2%
BIT
7
BlackRock Institutional Trust
California
$43.7M +$37.9M +1,750,506 +959%
Bank of America
8
Bank of America
North Carolina
$38.1M +$3.15M +145,626 +9%
Wells Fargo
9
Wells Fargo
California
$21.4M -$367K -16,950 -2%
Goldman Sachs
10
Goldman Sachs
New York
$19.8M -$85.8K -3,960 -0.4%
BCM
11
Brookstone Capital Management
Illinois
$16.7M +$16M +739,662 New
UBS Group
12
UBS Group
Switzerland
$16.3M -$112K -5,166 -0.7%
RJA
13
Raymond James & Associates
Florida
$14.7M +$716K +33,078 +5%
X
14
Xponance
Pennsylvania
$12.1M -$43.9K -2,028 -0.4%
New York State Common Retirement Fund
15
New York State Common Retirement Fund
New York
$10.7M -$35.2K -1,626 -0.3%
WBG
16
Wharton Business Group
Pennsylvania
$10.6M -$251K -11,610 -2%
Envestnet Asset Management
17
Envestnet Asset Management
Illinois
$8.26M +$6.42M +296,484 +429%
BCM
18
BTR Capital Management
California
$8.1M -$59.8K -2,760 -0.8%
Royal Bank of Canada
19
Royal Bank of Canada
Ontario, Canada
$7.4M +$1.1M +50,958 +18%
CCMG
20
Clark Capital Management Group
Pennsylvania
$7.35M +$7.05M +325,314 New
Citigroup
21
Citigroup
New York
$6.79M
OC
22
Oppenheimer & Co
New York
$6.45M +$4.04M +186,330 +188%
LPL Financial
23
LPL Financial
California
$5.75M -$4.44M -204,846 -45%
CA
24
Cumberland Advisors
Florida
$5.52M -$63.7K -2,940 -1%
SG Americas Securities
25
SG Americas Securities
New York
$5.43M +$5.1M +235,452 +4,655%