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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
Morgan Stanley
1
Morgan Stanley
New York
$162M -$34.4M -647,645 -16%
Bank of America
2
Bank of America
North Carolina
$139M +$50.2M +944,403 +49%
LPL Financial
3
LPL Financial
California
$135M -$2.2M -41,340 -1%
MIH
4
Meitav Investment House
Israel
$130M +$20.2M +380,057 +17%
Fisher Asset Management
5
Fisher Asset Management
Washington
$106M -$5.18M -97,349 -4%
Wells Fargo
6
Wells Fargo
California
$61M -$2.71M -50,973 -4%
UBS Group
7
UBS Group
Switzerland
$60.3M -$6.53M -122,800 -9%
Envestnet Asset Management
8
Envestnet Asset Management
Illinois
$57.1M +$12.9M +241,824 +26%
Royal Bank of Canada
9
Royal Bank of Canada
Ontario, Canada
$39.3M +$460K +8,647 +1%
HIIFS
10
Harel Insurance Investments & Financial Services
Israel
$36.5M +$38.8M +729,100 +3,416%
Osaic Holdings
11
Osaic Holdings
Arizona
$35M +$9.58M +180,148 +33%
Ameriprise
12
Ameriprise
Minnesota
$29.2M +$838K +15,769 +3%
KHLMVGHM
13
Kranot Hishtalmut Le Morim Ve Gananot Havera Menahelet
Israel
$27.4M +$12M +224,965 +69%
JAWM
14
J. Arnold Wealth Management
Ohio
$24.7M +$27.1M +510,084 New
Goldman Sachs
15
Goldman Sachs
New York
$24.5M +$22.8M +428,143 +559%
Commonwealth Equity Services
16
Commonwealth Equity Services
Massachusetts
$23.1M -$1.16M -21,780 -4%
RJA
17
Raymond James & Associates
Florida
$22.5M -$528K -9,927 -2%
SIS
18
Strategic Investment Solutions
Illinois
$21.4M +$21.3M +399,907 +7,692%
BWFA
19
Baltimore-Washington Financial Advisors
Maryland
$19.3M +$141K +2,653 +0.7%
JP Morgan Chase
20
JP Morgan Chase
New York
$18.4M +$7.26M +136,604 +56%
FAM
21
Flaharty Asset Management
Florida
$18.3M +$1.14M +21,369 +6%
MML Investors Services
22
MML Investors Services
Massachusetts
$17.1M -$328K -6,163 -2%
GKWIM
23
Gerber Kawasaki Wealth & Investment Management
California
$15M -$1.01M -18,981 -6%
Cambridge Investment Research Advisors
24
Cambridge Investment Research Advisors
Iowa
$14.7M -$2.26M -42,412 -12%
RJFSA
25
Raymond James Financial Services Advisors
Florida
$14.4M -$466K -8,759 -3%