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Vanguard Information Technology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
CG
426
Caprock Group
Idaho
$261K -$122K -5,368 -30%
5L
427
55I LLC
Massachusetts
$260K +$282K +12,448 New
Bank of Nova Scotia
428
Bank of Nova Scotia
Ontario, Canada
$257K
DJSG
429
D.J. St. Germain
Massachusetts
$252K -$3.63K -160 -1%
GEA
430
Glen Eagle Advisors
New Jersey
$252K
JIC
431
Joel Isaacson & Co
New York
$251K
EFS
432
Essex Financial Services
Connecticut
$250K -$1.53M -67,448 -85%
FAM
433
Foothills Asset Management
Arizona
$245K
BPA
434
Beacon Pointe Advisors
California
$245K +$266K +11,720 New
CRIG
435
Charter Research & Investment Group
Connecticut
$242K
CWA
436
Clarus Wealth Advisors
Arizona
$238K +$725 +32 +0.3%
BFO
437
Boston Family Office
Massachusetts
$237K -$240K -10,600 -48%
NWP
438
Northstar Wealth Partners
Connecticut
$236K +$75.6K +3,336 +42%
FI
439
Financial Insights
Washington
$236K +$237K +10,464 New
IFAM
440
Institutional & Family Asset Management
Colorado
$234K -$329K -14,536 -56%
FCA
441
FinTrust Capital Advisors
South Carolina
$233K +$253K +11,176 New
AW
442
ACG Wealth
Georgia
$229K -$274K -12,080 -52%
FWIA
443
Fort Washington Investment Advisors
Ohio
$229K +$18.1K +800 +8%
SG
444
StoneX Group
New York
$226K -$133K -5,856 -35%
PAG
445
Private Advisory Group
Washington
$224K -$53.3K -2,352 -18%
BSB
446
Bangor Savings Bank
Maine
$223K -$11.4K -504 -5%
BP
447
Ballentine Partners
Massachusetts
$221K
IFWM
448
Institute for Wealth Management
Colorado
$221K +$240K +10,600 New
EVM
449
Eaton Vance Management
Massachusetts
$220K +$239K +10,568 New
HSBC Holdings
450
HSBC Holdings
United Kingdom
$217K -$212K -9,360 -47%