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Vanguard Information Technology ETF

Name Holding Trade Value Shares
Change
Change in
Stake
EL
1726
Essex LLC
Illinois
$313K +$19.3K +176 +7%
MBWA
1727
Marin Bay Wealth Advisors
California
$311K -$10.7K -98 -4%
CA
1728
Commerce Advisors
Tennessee
$311K +$219 +2 +0.1%
AWM
1729
Athena Wealth Management
Nevada
$310K +$438 +4 +0.2%
PBT
1730
Pictet Bank & Trust
Bahamas
$310K
BA
1731
BCM Advisors
Louisiana
$309K -$2.09M -19,096 -88%
NRC
1732
New Republic Capital
North Carolina
$309K
GT
1733
GreatBanc Trust
Illinois
$309K +$283K +2,584 New
BAM
1734
Berkshire Asset Management
Pennsylvania
$306K
OCM
1735
Objective Capital Management
Ohio
$306K +$280K +2,560 New
SG
1736
Stanich Group
New York
$304K +$328 +3 +0.1%
WWM
1737
Wolff Wiese Magana
California
$304K
GG
1738
GenWealth Group
New Jersey
$303K -$11.1K -101 -4%
IA
1739
IMZ Advisory
Florida
$303K +$109 +1 +0%
CT
1740
Colonial Trust
South Carolina
$302K -$619K -5,649 -69%
MWA
1741
Medallion Wealth Advisors
Connecticut
$302K -$166K -1,515 -38%
MWA
1742
Mills Wealth Advisors
Texas
$301K -$25.7K -235 -9%
JFGLC
1743
Johnson Financial Group LLC (Colorado)
Colorado
$300K -$6.13K -56 -2%
FFW
1744
Fusion Family Wealth
New York
$300K
HPC
1745
HM Payson & Co
Maine
$299K
CIM
1746
Corbyn Investment Management
Maryland
$299K -$7.01K -64 -2%
AIA
1747
Ally Invest Advisors
North Carolina
$298K -$13.9K -127 -5%
PSP
1748
Pacific Sage Partners
Washington
$298K
PTC
1749
Philadelphia Trust Company
Pennsylvania
$298K
SWIG
1750
Strategic Wealth Investment Group
Kentucky
$297K -$44.7K -408 -14%