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Vanguard FTSE Developed Markets ETF

Name Holding Trade Value Shares
Change
Change in
Stake
RIG
501
Roosevelt Investment Group
New York
$4.55M +$80.4K +1,960 +2%
PA
502
Parkside Advisors
California
$4.54M -$777K -18,928 -15%
AC
503
Abbrea Capital
California
$4.51M -$161K -3,930 -3%
Barclays
504
Barclays
United Kingdom
$4.49M +$1.74M +42,343 +63%
AC
505
Alexandria Capital
Virginia
$4.49M -$544K -13,258 -11%
SCA
506
Snowden Capital Advisors
New York
$4.48M -$1.34M -32,642 -23%
RI
507
RPTC Inc
Wyoming
$4.46M +$24.3K +593 +0.5%
CMO
508
Covenant Multifamily Offices
Texas
$4.44M +$4.06M +98,865 +1,028%
IA
509
IFG Advisors
Missouri
$4.43M +$264K +6,435 +6%
PHS
510
Pekin Hardy Strauss
Illinois
$4.35M +$2.25M +54,803 +106%
HCM
511
HM Capital Management
Missouri
$4.34M
CST
512
Charles Schwab Trust
Nevada
$4.29M -$286K -6,971 -6%
ACM
513
AlphaStar Capital Management
North Carolina
$4.26M +$483K +11,779 +13%
SAM
514
Smithbridge Asset Management
Pennsylvania
$4.26M +$48.7K +1,186 +1%
SC
515
SouthState Corp
Florida
$4.25M +$175K +4,256 +4%
AFAS
516
Acorn Financial Advisory Services
Virginia
$4.21M +$2.79M +68,056 +195%
JIC
517
JRM Investment Counsel
Nebraska
$4.16M +$200K +4,876 +5%
PAS
518
Partnervest Advisory Services
California
$4.14M +$507K +12,353 +14%
SFG
519
Summit Financial Group
West Virginia
$4.06M -$512K -12,484 -11%
RCA
520
Rex Capital Advisors
Rhode Island
$4.05M -$187K -4,566 -4%
DWM
521
Doyle Wealth Management
Florida
$4.04M +$650K +15,843 +19%
FLA
522
Financial Life Advisors
Texas
$3.99M -$414K -10,079 -9%
PO
523
Private Ocean
California
$3.99M +$35K +854 +0.9%
AL
524
Aspiriant LLC
California
$3.97M -$247K -6,023 -6%
CRC
525
Curi RMB Capital
Illinois
$3.89M -$3.9K -95 -0.1%