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Rocket Lab Corp

Name Holding Trade Value Shares
Change
Change in
Stake
MAG
551
Mayfair Advisory Group
Alabama
$287K -$28.7K -500 -12%
BIG
552
Brookwood Investment Group
Arizona
$285K +$234K +4,083 New
SPC
553
Sigma Planning Corp
Michigan
$284K -$862K -15,042 -79%
CI
554
Cigna Investments
Connecticut
$284K +$233K +4,070 New
DWM
555
Diversify Wealth Management
Utah
$284K +$188K +3,280 New
MWP
556
Meridian Wealth Partners
Pennsylvania
$283K +$232K +4,051 New
FFN
557
Focus Financial Network
Minnesota
$281K +$231K +4,022 New
IA
558
IFP Advisors
Florida
$280K +$58.8K +1,025 +34%
TRCT
559
Tower Research Capital (TRC)
New York
$279K -$1.13M -19,742 -83%
CCM
560
Coldstream Capital Management
Washington
$279K -$38.6K -673 -14%
TF
561
Tenon Financial
New Jersey
$279K +$229K +4,000 New
DS
562
DRW Securities
Illinois
$277K -$1.17M -20,478 -84%
Allspring Global Investments
563
Allspring Global Investments
North Carolina
$277K -$152K -2,653 -42%
IA
564
Integrity Alliance
Iowa
$276K -$43.3K -755 -16%
HH
565
Hilltop Holdings
Texas
$274K +$225K +3,932 New
TCWM
566
Total Clarity Wealth Management
Illinois
$273K +$224K +3,915 New
CCWM
567
Cassaday & Co Wealth Management
Virginia
$273K +$224K +3,914 New
WWM
568
Western Wealth Management
Colorado
$273K +$224K +3,908 New
CFS
569
Commonwealth Financial Services
West Virginia
$272K +$224K +3,903 New
SOS
570
Silver Oak Securities
Tennessee
$270K +$46.3K +807 +27%
ACI
571
Alpha Cubed Investments
California
$268K +$220K +3,839 New
Mirae Asset Global ETFs Holdings
572
Mirae Asset Global ETFs Holdings
Hong Kong
$268K +$74.3K +1,297 +51%
NFGH
573
Nan Fung Group Holdings
Hong Kong
$267K -$1.47M -25,716 -87%
SF
574
Summit Financial
New Jersey
$266K +$219K +3,815 New
SWP
575
Sagespring Wealth Partners
Tennessee
$265K +$218K +3,795 New