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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
MMH
1
Menora Mivtachim Holdings
Israel
$237M -$56.2M -918,100 -19%
Morgan Stanley
2
Morgan Stanley
New York
$181M +$4.82M +78,770 +3%
Bank of America
3
Bank of America
North Carolina
$103M -$13.7M -224,274 -12%
LPL Financial
4
LPL Financial
California
$91.8M -$34.9M -570,259 -27%
UBS Group
5
UBS Group
Switzerland
$63.1M -$5.66M -92,586 -8%
Wells Fargo
6
Wells Fargo
California
$60.7M -$7.62M -124,577 -11%
Royal Bank of Canada
7
Royal Bank of Canada
Ontario, Canada
$44.8M +$4.4M +71,975 +11%
HIIFS
8
Harel Insurance Investments & Financial Services
Israel
$41.8M +$440K +7,200 +1%
Envestnet Asset Management
9
Envestnet Asset Management
Illinois
$38.7M -$6.91M -112,959 -15%
Raymond James Financial
10
Raymond James Financial
Florida
$38M -$2.85M -46,515 -7%
JP Morgan Chase
11
JP Morgan Chase
New York
$29.5M +$13.7M +223,216 +83%
RIG
12
RiverFront Investment Group
Virginia
$24.3M +$930K +15,200 +4%
Cetera Investment Advisers
13
Cetera Investment Advisers
Illinois
$19.9M +$1.9M +31,104 +10%
Commonwealth Equity Services
14
Commonwealth Equity Services
Massachusetts
$19.9M +$2.4M +39,304 +13%
Ameriprise
15
Ameriprise
Minnesota
$19.8M -$497K -8,133 -2%
Wealth Enhancement Advisory Services
16
Wealth Enhancement Advisory Services
Minnesota
$17.5M -$57.1K -934 -0.3%
Qube Research & Technologies (QRT)
17
Qube Research & Technologies (QRT)
United Kingdom
$17.2M +$7.87M +128,606 +81%
KWM
18
Kingsview Wealth Management
Oregon
$16.1M +$6.57M +107,489 +67%
NSLI
19
Nan Shan Life Insurance
Taiwan
$14.9M +$13.7M +223,710 +895%
Goldman Sachs
20
Goldman Sachs
New York
$14.9M -$27.8M -455,261 -65%
Osaic Holdings
21
Osaic Holdings
Arizona
$14M -$290K -4,733 -2%
Two Sigma Investments
22
Two Sigma Investments
New York
$12.4M +$12.6M +206,400 New
AFG
23
Arkansas Financial Group
Arkansas
$12.1M +$593K +9,690 +5%
BAAM
24
Baker Avenue Asset Management
California
$11.6M -$1.42M -23,224 -11%
GKWIM
25
Gerber Kawasaki Wealth & Investment Management
California
$10.8M -$161K -2,632 -1%