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Vanguard Information Technology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
ACM
876
Ategra Capital Management
Virginia
$222K -$4.68K -104 -2%
CPWA
877
Cerro Pacific Wealth Advisors
California
$220K
IF
878
IRON Financial
Illinois
$219K -$82.2K -1,824 -25%
WG
879
Welch Group
Alabama
$219K +$5.77K +128 +2%
DJYG
880
David J. Yvars Group
Florida
$218K -$25.2K -560 -9%
BAM
881
BTS Asset Management
Massachusetts
$218K -$22K -488 -8%
CWM
882
CCG Wealth Management
California
$217K +$36K +800 +18%
ACA
883
Affinity Capital Advisors
California
$216K
CS
884
Cannell & Spears
New York
$216K
EWM
885
Empirical Wealth Management
Washington
$216K +$3.6K +80 +2%
DP
886
Denver PWM
Colorado
$215K -$2.52K -56 -1%
DI
887
DFPG Investments
Utah
$214K -$7.93K -176 -3%
PIP
888
Peachtree Investment Partners
Florida
$213K -$289K -6,416 -55%
FFA
889
Fragasso Financial Advisors
Pennsylvania
$213K
AWA
890
Arete Wealth Advisors
Illinois
$212K -$114K -2,528 -33%
JMFC
891
J.M. Forbes & Co
Massachusetts
$212K
NEPPG
892
New England Professional Planning Group
Rhode Island
$212K
BTI
893
Blue Trust Inc
Georgia
$211K +$182K +4,040 New
ACP
894
Aveo Capital Partners
Colorado
$210K +$232K +5,152 New
LIG
895
Lokken Investment Group
Delaware
$208K
SAM
896
Silvercrest Asset Management
New York
$206K -$49.4K -1,096 -18%
IBOK
897
Independence Bank of Kentucky
Kentucky
$206K -$22K -488 -9%
TCOV
898
Trust Company of Vermont
Vermont
$206K +$10.8K +240 +5%
SEA
899
Stegent Equity Advisors
Texas
$205K
BLC
900
Brown, Lisle/Cummings
Rhode Island
$204K