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Vanguard Emerging Markets Government Bond ETF

Name Holding Trade Value Shares
Change
Change in
Stake
SC
226
Summa Corp
Texas
$669K
AIA
227
AssuredPartners Investment Advisors
Florida
$662K -$181K -2,751 -22%
CP
228
Creekside Partners
California
$646K +$8.38K +127 +1%
Rockefeller Capital Management
229
Rockefeller Capital Management
New York
$643K +$634K +9,617 New
CIAS
230
CFS Investment Advisory Services
New Jersey
$629K -$13.1K -198 -2%
FA
231
FC Advisory
Pennsylvania
$609K +$17.2K +261 +3%
TWM
232
TSA Wealth Management
Texas
$606K -$27K -410 -4%
PFBT
233
Parkside Financial Bank & Trust
Missouri
$603K -$4.81K -73 -0.8%
IA
234
IFP Advisors
Florida
$599K +$60.8K +922 +11%
RI
235
Ridgewood Investments
New Jersey
$595K +$243K +3,686 +71%
CPRC
236
Consolidated Portfolio Review Corp
New York
$580K +$572K +8,666 New
DE
237
Diversified Enterprises
Delaware
$571K -$22.8K -346 -4%
NS
238
NBC Securities
Alabama
$552K +$73.5K +1,115 +16%
FCA
239
FLC Capital Advisors
California
$550K +$50.8K +770 +10%
HGWM
240
Horst & Graben Wealth Management
Oregon
$544K -$2.64K -40 -0.5%
SWM
241
Seed Wealth Management
Illinois
$543K
DB
242
Dravo Bay
Delaware
$534K +$2.04K +31 +0.4%
KF
243
KKM Financial
Illinois
$533K -$8.24K -125 -2%
SA
244
Stewardship Advisors
Pennsylvania
$531K -$9.76K -148 -2%
SGI
245
Summit Global Investments
Utah
$528K -$18.1K -274 -3%
RWM
246
Revisor Wealth Management
Ohio
$524K -$102K -1,551 -16%
CCFM
247
Clear Creek Financial Management
Washington
$521K -$255K -3,860 -33%
KWS
248
Keystone Wealth Services
California
$517K +$510K +7,726 New
GC
249
Garde Capital
Washington
$515K -$487K -7,386 -49%
CFA
250
Cahill Financial Advisors
Minnesota
$511K -$8.18K -124 -2%