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Vanguard FTSE Emerging Markets ETF

Name Holding Trade Value Shares
Change
Change in
Stake
ACP
676
Aveo Capital Partners
Colorado
$3.98M +$217K +5,329 +6%
NGA
677
Naples Global Advisors
Florida
$3.97M -$74.9K -1,836 -2%
OGF
678
Orin Green Financial
California
$3.96M -$4.05M -99,360 Closed
TPCW
679
TD Private Client Wealth
New York
$3.95M -$865K -21,188 -18%
PCM
680
Penserra Capital Management
California
$3.95M +$3.86M +94,569 New
VAMG
681
Voisard Asset Management Group
Michigan
$3.95M +$364K +8,919 +10%
PF
682
Phoenix Financial
Israel
$3.95M +$3.86M +94,511 New
GWM
683
GoalFusion Wealth Management
Texas
$3.94M +$107K +2,628 +3%
AL
684
Aspiriant LLC
California
$3.93M -$436K -10,686 -10%
SCI
685
S&CO Inc
Massachusetts
$3.91M +$418K +10,250 +12%
VAF
686
Values Added Financial
District of Columbia
$3.91M +$7.92K +194 +0.2%
ODA
687
One Degree Advisors
California
$3.9M -$10.2K -250 -0.3%
AC
688
Abbrea Capital
California
$3.87M -$512K -12,545 -12%
PL
689
Plancorp LLC
Missouri
$3.84M +$720K +17,638 +24%
SWM
690
Soundmark Wealth Management
Washington
$3.82M +$614K +15,050 +20%
RC
691
Roundview Capital
New Jersey
$3.81M +$89K +2,180 +2%
AW
692
Avion Wealth
Texas
$3.79M -$65.7K -1,609 -2%
MLICM
693
Metropolitan Life Insurance Company (MetLife)
New York
$3.79M -$71K -1,740 -2%
TSWM
694
Triangle Securities Wealth Management
North Carolina
$3.78M +$1.4M +34,352 +61%
CA
695
Crewe Advisors
Utah
$3.78M -$571 -14 -0%
DI
696
DDFG Inc
California
$3.77M -$767K -18,804 -17%
MA
697
MCF Advisors
Kentucky
$3.75M +$256K +6,284 +8%
BGA
698
Battery Global Advisors
Massachusetts
$3.74M -$3.86M -94,501 -51%
PL
699
Parkwood LLC
Ohio
$3.74M -$22.9M -560,495 -86%
BONH
700
Bank of New Hampshire
New Hampshire
$3.72M +$74.6K +1,827 +2%