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Vanguard Information Technology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
HH
726
Hilltop Holdings
Texas
$332K -$17.6K -400 -4%
RW
727
RVW Wealth
California
$332K
MCC
728
Money Concepts Capital
Florida
$331K +$1.05K +24 +0.3%
FPCP
729
Fort Point Capital Partners
California
$331K +$63.3K +1,440 +20%
SG
730
StoneX Group
New York
$331K -$42.9K -976 -10%
CWM
731
Congress Wealth Management
Massachusetts
$330K -$14.4K -328 -4%
MCG
732
McCollum Christoferson Group
New York
$330K
AFG
733
Albion Financial Group
Utah
$327K
T
734
TNF
Montana
$326K -$4.22K -96 -1%
DDC
735
DF Dent & Co
Maryland
$325K
TCM
736
Towercrest Capital Management
Pennsylvania
$324K
BFC
737
Blue Fin Capital
Rhode Island
$322K +$2.11K +48 +0.6%
CG
738
Colony Group
Massachusetts
$322K +$22.9K +520 +7%
HWMA
739
Heritage Wealth Management (Arizona)
Arizona
$320K -$74.9K -1,704 -17%
AWC
740
Adamsbrown Wealth Consultants
Kansas
$320K -$42.2K -960 -10%
CCT
741
Chemung Canal Trust
New York
$319K
SMH
742
Sanders Morris Harris
Texas
$318K
FC
743
Financial Council
Maryland
$315K
MCM
744
Mengis Capital Management
Oregon
$315K
DPI
745
Diversified Portfolios Inc
Michigan
$314K -$88K -2,000 -20%
PWG
746
Private Wealth Group
Florida
$314K
RCM
747
RB Capital Management
Nevada
$313K
TVAMP
748
Tennessee Valley Asset Management Partners
Tennessee
$312K +$1.05K +24 +0.3%
RIL
749
Rothschild Investment LLC
Illinois
$312K +$357K +8,120 New
3F
750
360 Financial
Minnesota
$311K +$91.1K +2,072 +34%