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iShares Semiconductor ETF

Name Holding Trade Value Shares
Change
Change in
Stake
GSWM
226
Golden State Wealth Management
California
$319K +$34.4K +300 +13%
NFG
227
Next Financial Group
Texas
$318K -$43K -375 -13%
PCM
228
Princeton Capital Management
New Jersey
$309K -$19.6K -171 -7%
RG
229
Rikoon Group
New Mexico
$306K +$39.6K +345 +17%
CA
230
CGN Advisors
Kansas
$306K +$278K +2,421 New
NEGWA
231
New England Guild Wealth Advisors
Connecticut
$303K
BCA
232
Bay Colony Advisors
Massachusetts
$302K +$274K +2,385 New
PMG
233
ProVise Management Group
Florida
$300K +$272K +2,373 New
AC
234
Avestar Capital
New York
$299K +$31.7K +276 +13%
HIIFS
235
Harel Insurance Investments & Financial Services
Israel
$295K -$193K -1,677 -55%
SG
236
StoneX Group
New York
$295K +$268K +2,334 New
FPF
237
First Pacific Financial
Washington
$292K +$266K +2,313 New
DIM
238
Delta Investment Management
California
$291K -$13.8K -120 -5%
MMG
239
Monetary Management Group
Missouri
$284K
HAS
240
HBW Advisory Services
California
$281K +$255K +2,223 New
GTAM
241
Global Trust Asset Management
Florida
$275K +$250K +2,178 New
RFN
242
RDA Financial Network
Iowa
$273K +$248K +2,160 New
Deutsche Bank
243
Deutsche Bank
Germany
$272K +$247K +2,151 New
FFN
244
Focus Financial Network
Minnesota
$270K -$5.17K -45 -2%
BHWM
245
Bay Harbor Wealth Management
Maryland
$269K +$245K +2,130 New
ICP
246
Interchange Capital Partners
Pennsylvania
$267K +$243K +2,115 New
MCC
247
Money Concepts Capital
Florida
$263K +$239K +2,079 New
NNP
248
Nachman Norwood & Parrott
South Carolina
$262K
CA
249
Continuum Advisory
Idaho
$262K +$238K +2,073 New
Bank of Montreal
250
Bank of Montreal
Ontario, Canada
$252K -$38.6K -336 -15%