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Vanguard FTSE Emerging Markets ETF

Name Holding Trade Value Shares
Change
Change in
Stake
3LCM
1301
3D/L Capital Management
Connecticut
$691K +$19.2K +381 +3%
FFN
1302
Focus Financial Network
Minnesota
$688K -$2.07M -41,015 -75%
CSIC
1303
Clifford Swan Investment Counsel
California
$687K -$66.8K -1,325 -9%
BWP
1304
Baldwin Wealth Partners
Massachusetts
$687K -$12.9K -255 -2%
PL
1305
Plancorp LLC
Missouri
$687K +$65.7K +1,302 +10%
YWP
1306
YorkBridge Wealth Partners
New York
$685K +$204K +4,050 +41%
BB
1307
Busey Bank
Illinois
$681K +$146K +2,886 +27%
AA
1308
Advisory Alpha
Michigan
$680K -$5.29K -105 -0.8%
TRCT
1309
Tower Research Capital (TRC)
New York
$678K +$671K +13,314 +3,329%
AAM
1310
Austin Asset Management
Texas
$678K +$691K +13,701 New
HFS
1311
Howard Financial Services
Texas
$677K +$706 +14 +0.1%
BCM
1312
Buckhead Capital Management
Georgia
$676K +$5.29K +105 +0.8%
SRC
1313
Shufro Rose & Co
New York
$676K +$106K +2,093 +18%
CA
1314
Capital Advantage
California
$676K +$683K +13,540 New
WSTAM
1315
Wilbanks Smith & Thomas Asset Management
Virginia
$675K +$155K +3,067 +29%
CCA
1316
Childress Capital Advisors
Texas
$673K
Squarepoint
1317
Squarepoint
New York
$673K +$449K +8,900 +189%
AUB
1318
Atlantic Union Bankshares
Virginia
$669K -$48.3K -957 -7%
JHP
1319
James Hambro & Partners
United Kingdom
$669K
OFA
1320
Oak Family Advisors
Illinois
$668K -$756 -15 -0.1%
UL
1321
Unionview LLC
Washington
$667K +$680K +13,480 New
MAM
1322
Mystic Asset Management
Rhode Island
$667K +$680K +13,491 New
ADL
1323
Asset Dedication LLC
California
$665K +$45.3K +898 +7%
LCM
1324
LCM Capital Management
Illinois
$659K -$36.4K -721 -5%
FCA
1325
FinTrust Capital Advisors
South Carolina
$658K +$403 +8 +0.1%