We are live on ! Find out more
VSS icon

Vanguard FTSE All-World ex-US Small-Cap Index Fund

Name Holding Trade Value Shares
Change
Change in
Stake
Empower Advisory Group
1
Empower Advisory Group
Colorado
$659M +$6.06M +49,124 +1%
Natixis Advisors
2
Natixis Advisors
Massachusetts
$289M -$15.4M -124,619 -5%
MIAS
3
Mason Investment Advisory Services
Virginia
$260M +$128K +1,038 +0.1%
Bessemer Group
4
Bessemer Group
New Jersey
$257M -$119M -961,406 -33%
1832 Asset Management
5
1832 Asset Management
Ontario, Canada
$205M +$46.6M +377,838 +33%
Charles Schwab
6
Charles Schwab
California
$187M -$15.1M -122,425 -8%
AssetMark Inc
7
AssetMark Inc
California
$108M -$1.75M -14,197 -2%
Morgan Stanley
8
Morgan Stanley
New York
$101M -$6.58M -53,309 -7%
WL
9
WIT LLC
District of Columbia
$88.5M +$21.5M +174,452 +36%
Creative Planning
10
Creative Planning
Kansas
$82.1M +$4.93M +39,960 +7%
Jones Financial Companies
11
Jones Financial Companies
Missouri
$81.6M +$5.28M +42,832 +8%
UBS Group
12
UBS Group
Switzerland
$78.1M +$2.95M +23,929 +4%
Northwestern Mutual Wealth Management
13
Northwestern Mutual Wealth Management
Wisconsin
$72.2M -$2.84M -23,026 -4%
Envestnet Asset Management
14
Envestnet Asset Management
Illinois
$64M -$39.4M -319,104 -40%
CCMG
15
Clark Capital Management Group
Pennsylvania
$60.5M -$45.4M -368,389 -45%
Commonwealth Equity Services
16
Commonwealth Equity Services
Massachusetts
$53.5M -$5.59M -45,353 -10%
State Street
17
State Street
Massachusetts
$52.7M -$4.19M -34,000 -8%
LPL Financial
18
LPL Financial
California
$46.3M -$6.75M -54,683 -14%
EA
19
Efficient Advisors
Ohio
$46M -$2.45M -19,862 -5%
Wells Fargo
20
Wells Fargo
California
$45M +$404K +3,278 +1%
Pathstone Holdings
21
Pathstone Holdings
New Jersey
$43.1M +$2.73M +22,091 +7%
FSC
22
Full Sail Capital
Oklahoma
$41.9M -$3.57M -28,968 -9%
AA
23
Advisory Alpha
Michigan
$41.4M -$2.33M -18,882 -6%
Bank of Montreal
24
Bank of Montreal
Ontario, Canada
$39M +$980K +7,945 +3%
PNC Financial Services Group
25
PNC Financial Services Group
Pennsylvania
$38.1M -$8.78M -71,199 -20%