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Vanguard Information Technology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
CCM
1101
Coldstream Capital Management
Washington
$399K +$65.1K +864 +17%
CWM
1102
Chemistry Wealth Management
New York
$399K +$2.41K +32 +0.5%
SIM
1103
Sims Investment Management
Ohio
$399K +$18.7K +248 +4%
RH
1104
RFG Holdings
Texas
$398K +$205K +2,720 +87%
SIC
1105
Sigma Investment Counselors
Michigan
$395K +$439K +5,832 New
SC
1106
Sapient Capital
Indiana
$395K -$19.3K -256 -4%
CWM
1107
CCG Wealth Management
California
$393K
BCA
1108
Bay Capital Advisors
Virginia
$393K -$6.03K -80 -1%
LC
1109
Lindbrook Capital
California
$392K
CCP
1110
Clarkston Capital Partners
Michigan
$392K +$44.6K +592 +11%
EB
1111
Eastern Bank
Massachusetts
$392K +$118K +1,568 +37%
NG
1112
Northstar Group
New York
$391K +$30.7K +408 +8%
AG
1113
AmeriFlex Group
Nevada
$390K +$42.2K +560 +11%
LSA
1114
Lion Street Advisors
Texas
$388K -$558K -7,400 -56%
FA
1115
FSA Advisors
Michigan
$388K +$432K +5,728 New
BIA
1116
Bigelow Investment Advisors
Maine
$388K
IIM
1117
InTrack Investment Management
Vermont
$387K
FAG
1118
Fortitude Advisory Group
Washington
$387K
QCG
1119
Quadrant Capital Group
Ohio
$386K -$7.23K -96 -2%
SWA
1120
SFMG Wealth Advisors
Texas
$386K +$1.21K +16 +0.3%
CIM
1121
Corbyn Investment Management
Maryland
$385K -$259K -3,432 -38%
PBT
1122
Pictet Bank & Trust
Bahamas
$385K
SM
1123
Sweeney & Michel
California
$385K +$493K +6,544 New
LWANC
1124
Laurel Wealth Advisors (North Carolina)
North Carolina
$383K -$12.1K -160 -3%
NF
1125
Nvest Financial
New Hampshire
$381K -$774K -10,272 -65%