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Vanguard Information Technology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
RM
701
Resource Management
Louisiana
$351K +$332K +7,040 New
IIA
702
IPG Investment Advisors
California
$351K
CRI
703
Colonial River Investments
Virginia
$349K +$34K +720 +11%
IC
704
Intersect Capital
California
$348K
RB
705
Renasant Bank
Mississippi
$347K +$1.13K +24 +0.3%
CA
706
CGN Advisors
Kansas
$346K +$117K +2,472 +55%
MCG
707
McCollum Christoferson Group
New York
$345K -$20.4K -432 -6%
BA
708
Ballast Advisors
Minnesota
$345K +$15.1K +320 +5%
SS
709
Simplicity Solutions
Minnesota
$344K +$11.7K +248 +4%
NSAM
710
North Star Asset Management
Wisconsin
$342K -$9.43K -200 -3%
PLFAM
711
Pineno Levin & Ford Asset Management
Virginia
$339K
AWM
712
Accurate Wealth Management
Florida
$339K +$321K +6,800 New
TFCP
713
Twin Focus Capital Partners
Massachusetts
$339K +$321K +6,800 New
TWM
714
TriaGen Wealth Management
California
$338K
WA
715
Wealth Alliance
New York
$338K
FPCP
716
Fort Point Capital Partners
California
$338K +$3.77K +80 +1%
1IA
717
1834 Investment Advisors
Wisconsin
$336K
DI
718
DFPG Investments
Utah
$335K -$1.89K -40 -0.6%
BPC
719
Banque Pictet & Cie
Switzerland
$334K
RPCA
720
Running Point Capital Advisors
California
$332K
TA
721
TrueWealth Advisors
Alabama
$331K -$6.79K -144 -2%
AWM
722
Altavista Wealth Management
North Carolina
$331K
CMI
723
Clare Market Investments
Texas
$330K +$377 +8 +0.1%
TWP
724
Total Wealth Planning
Ohio
$329K -$44.9K -952 -13%
FC
725
Ferris Capital
Massachusetts
$329K +$311K +6,600 New