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Vanguard Information Technology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
FCFC
301
First Commonwealth Financial Corp
Pennsylvania
$508K
PSF
302
Pacific Sun Financial
California
$498K -$3.59K -160 -0.8%
RT
303
Rockland Trust
Massachusetts
$497K +$36.5K +1,624 +8%
BCM
304
Boltwood Capital Management
California
$494K -$89.8K -4,000 -16%
CB
305
Community Bank
New York
$492K
RJT
306
Raymond James Trust
Florida
$478K +$85K +3,784 +22%
GRP
307
Global Retirement Partners
California
$476K +$7.01K +312 +2%
CG
308
Caprock Group
Idaho
$475K +$133K +5,936 +40%
1IA
309
1834 Investment Advisors
Wisconsin
$474K
FWP
310
FAS Wealth Partners
Kansas
$465K
NFG
311
Next Financial Group
Texas
$459K -$548K -24,400 -55%
RFC
312
Regions Financial Corp
Alabama
$456K +$60.9K +2,712 +16%
SA
313
Strategic Advisors
New York
$455K +$13.3K +592 +3%
BAM
314
Belpointe Asset Management
Nevada
$449K -$35.2K -1,568 -7%
AC
315
Addison Capital
Pennsylvania
$446K +$15.6K +696 +4%
NGA
316
Naples Global Advisors
Florida
$440K +$3.59K +160 +0.8%
FDCDDQ
317
Federation des caisses Desjardins du Quebec
Quebec, Canada
$438K -$13.5K -600 -3%
PSUF
318
People's United Financial
Connecticut
$437K -$10.8K -480 -2%
FHC
319
Forest Hill Capital
Arkansas
$435K
SFFS
320
Stonehage Fleming Financial Services
Jersey
$435K +$144K +6,400 +50%
SCG
321
Sonata Capital Group
Washington
$434K
SCM
322
SCS Capital Management
Massachusetts
$428K
WCM
323
Windham Capital Management
Massachusetts
$413K +$81.4K +3,624 +25%
BC
324
Burney Company
Virginia
$411K +$15.6K +696 +4%
Bessemer Group
325
Bessemer Group
New Jersey
$411K +$21.9K +976 +6%