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Vanguard Information Technology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
CTC
126
Central Trust Company
Missouri
$954K -$50.2K -3,680 -5%
HFA
127
High Falls Advisors
New York
$952K +$960K +70,352 New
KL
128
KWMG LLC
Kansas
$950K -$14.1K -1,032 -1%
Bank of New York Mellon
129
Bank of New York Mellon
New York
$948K +$147K +10,776 +18%
BFA
130
Bragg Financial Advisors
North Carolina
$927K +$44.2K +3,240 +5%
DHFB
131
Dixon Hubard Feinour & Brown
Virginia
$922K +$929K +68,080 New
ICOA
132
Investment Centers of America
North Dakota
$919K +$451K +33,016 +94%
CWM
133
Concert Wealth Management
California
$905K -$13.1K -960 -1%
11A
134
10-15 Associates
New York
$896K +$205K +15,032 +29%
OC
135
Oppenheimer & Co
New York
$839K +$54.9K +4,024 +7%
KCM
136
Karp Capital Management
California
$837K -$120K -8,800 -12%
WRM
137
Westport Resources Management
Connecticut
$835K +$62.7K +4,592 +8%
AMG
138
Asset Management Group
Connecticut
$808K +$2.95K +216 +0.4%
Fidelity Investments
139
Fidelity Investments
Massachusetts
$806K +$80.8K +5,920 +11%
CPIG
140
Chicago Partners Investment Group
Illinois
$804K +$786K +57,608 +3,288%
JFA
141
JNBA Financial Advisors
Minnesota
$803K -$6.55K -480 -0.8%
EFS
142
Essex Financial Services
Connecticut
$770K +$156K +11,448 +25%
Baird Financial Group
143
Baird Financial Group
Wisconsin
$768K +$156K +11,464 +25%
RSVP
144
Ramsay Stattman Vela & Price
Colorado
$704K
FMC
145
First Merchants Corp
Indiana
$700K -$13.8K -1,008 -2%
HWP
146
Hefty Wealth Partners
Indiana
$689K +$695K +50,920 New
GA
147
Gateway Advisory
New Jersey
$684K +$689K +50,520 New
BA
148
Boston Advisors
Massachusetts
$680K +$162K +11,888 +31%
SHA
149
Smith Hayes Advisers
Nebraska
$637K
PVH
150
Psagot Value Holdings
Israel
$628K +$205K +15,000 +48%