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Vanguard Information Technology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
ES
901
Eagle Strategies
New York
$276K -$52.1K -1,016 -16%
DP
902
Denver PWM
Colorado
$276K -$11.9K -232 -4%
VCP
903
Verus Capital Partners
Arizona
$276K +$272K +5,304 New
CS
904
Cannell & Spears
New York
$275K -$154K -3,000 -36%
ACA
905
Affinity Capital Advisors
California
$275K -$41.1K -800 -13%
WG
906
Welch Group
Alabama
$273K -$89.9K -1,752 -25%
RBFC
907
Roman Butler Fullerton & Co
Missouri
$273K -$21.8K -424 -7%
AC
908
Apella Capital
Connecticut
$273K
FFA
909
Fragasso Financial Advisors
Pennsylvania
$272K +$411 +8 +0.2%
JMFC
910
J.M. Forbes & Co
Massachusetts
$271K
EWM
911
Empirical Wealth Management
Washington
$271K +$76.8K +1,496 +40%
PCG
912
Private Capital Group
Connecticut
$270K
NEPPG
913
New England Professional Planning Group
Rhode Island
$269K -$23.4K -456 -8%
CSPIA
914
Cary Street Partners Investment Advisory
Virginia
$263K -$477K -9,296 -65%
HFS
915
Heritage Financial Services
Massachusetts
$262K
SEA
916
Stegent Equity Advisors
Texas
$261K -$61.6K -1,200 -19%
LMKC
917
L.M. Kohn & Company
Ohio
$261K +$257K +5,000 New
BLC
918
Brown, Lisle/Cummings
Rhode Island
$260K +$12.3K +240 +5%
CL
919
Choreo LLC
Illinois
$260K
IAS
920
Investment Advisory Services
Texas
$260K
MHR
921
Matthew Hamilton Rosenberg
$260K +$47.2K +920 +23%
AA
922
Aire Advisors
California
$259K +$821 +16 +0.3%
GG
923
Gofen & Glossberg
Illinois
$258K
CTFG
924
Capstone Triton Financial Group
Oklahoma
$255K -$20.5K -400 -7%
MPI
925
Mairs & Power Inc
Minnesota
$254K -$49.3K -960 -16%