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Vanguard FTSE Emerging Markets ETF

Name Holding Trade Value Shares
Change
Change in
Stake
AP
1326
Adero Partners
California
$615K +$60.6K +1,485 +10%
WPC
1327
White Pine Capital
Minnesota
$611K +$48.7K +1,192 +8%
BCM
1328
Boltwood Capital Management
California
$609K -$266K -6,515 -30%
LFAS
1329
Level Four Advisory Services
Texas
$609K +$7.76K +190 +1%
IWP
1330
Icon Wealth Partners
Texas
$604K
CFS
1331
Cannon Financial Strategists
Georgia
$603K
SWPG
1332
Strategic Wealth Partners Group
Illinois
$602K -$18K -440 -3%
CCM
1333
Cohen Capital Management
California
$602K -$63.8K -1,564 -9%
MTIC
1334
Missouri Trust & Investment Company
Missouri
$601K -$6.12K -150 -1%
SCA
1335
Snowden Capital Advisors
New York
$601K -$862K -21,105 -58%
SCA
1336
St. Clair Advisors
Ohio
$600K +$2.73K +67 +0.4%
DCM
1337
Dimension Capital Management
Florida
$599K
HCA
1338
Harbour Capital Advisors
Virginia
$598K -$14.3K -350 -2%
WSWA
1339
Warren Street Wealth Advisors
California
$596K +$12.9K +317 +2%
MA
1340
MBA Advisors
Pennsylvania
$596K -$81.6K -2,000 -12%
MIA
1341
MMBG Investment Advisors
Florida
$592K
QFA
1342
Quantum Financial Advisors
California
$589K -$24.6K -602 -4%
T
1343
TRUADVICE
Florida
$588K -$20.9K -512 -3%
SFP
1344
Sterling Financial Planning
New Jersey
$586K
W
1345
Wealthquest
Ohio
$583K -$282K -6,918 -32%
HFS
1346
Heritage Financial Services
Massachusetts
$579K -$5.27K -129 -0.9%
EWA
1347
Etesian Wealth Advisors
Oregon
$579K
WCM
1348
Weik Capital Management
Pennsylvania
$578K -$11.6K -285 -2%
SMA
1349
Seven Mile Advisory
New Jersey
$576K +$11.3K +278 +2%
AFG
1350
Atomi Financial Group
New York
$572K +$74.2K +1,818 +14%