We are live on ! Find out more
VXUS icon

Vanguard Total International Stock ETF

Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$1.46B +$501M +8,982,232 +49%
Envestnet Asset Management
2
Envestnet Asset Management
Illinois
$621M -$160M -2,869,652 -20%
Bank of America
3
Bank of America
North Carolina
$598M +$32.1M +574,786 +5%
Morgan Stanley
4
Morgan Stanley
New York
$484M -$33.5M -600,852 -6%
Cambridge Investment Research Advisors
5
Cambridge Investment Research Advisors
Iowa
$337M -$3.91M -70,103 -1%
HWM
6
HB Wealth Management
Georgia
$266M +$3.82M +68,414 +1%
Osaic Holdings
7
Osaic Holdings
Arizona
$265M +$46.7M +836,805 +20%
WANY
8
Wealthspire Advisors (New York)
New York
$203M +$12M +214,760 +6%
ST
9
Sageworth Trust
Pennsylvania
$185M +$2.9M +52,025 +2%
UBS Group
10
UBS Group
Switzerland
$172M +$9.65M +172,882 +6%
Ameriprise
11
Ameriprise
Minnesota
$167M -$7.94M -142,199 -4%
Cetera Investment Advisers
12
Cetera Investment Advisers
Illinois
$161M +$1.64M +29,417 +1%
Wealth Enhancement Advisory Services
13
Wealth Enhancement Advisory Services
Minnesota
$136M +$126M +2,250,751 +790%
LPL Financial
14
LPL Financial
California
$136M +$21.9M +392,219 +18%
Janus Henderson Group
15
Janus Henderson Group
$134M -$48.2K -863 -0%
Royal Bank of Canada
16
Royal Bank of Canada
Ontario, Canada
$131M +$6.38M +114,275 +5%
Corient Private Wealth
17
Corient Private Wealth
Florida
$121M +$4.18M +74,929 +3%
GEM
18
Global Endowment Management
North Carolina
$115M +$964K +17,274 +0.8%
Wells Fargo
19
Wells Fargo
California
$112M +$6.57M +117,649 +6%
Envestnet Portfolio Solutions
20
Envestnet Portfolio Solutions
Illinois
$111M +$116M +2,073,467 New
Jane Street
21
Jane Street
New York
$83.9M +$1.99M +35,577 +2%
CAN
22
Cetera Advisor Networks
California
$77.8M +$38.2M +683,799 +89%
HighTower Advisors
23
HighTower Advisors
Illinois
$77.6M +$267K +4,777 +0.3%
Cerity Partners
24
Cerity Partners
New York
$76M +$34.1M +610,642 +75%
RJFSA
25
Raymond James Financial Services Advisors
Florida
$75.9M -$37.2M -665,943 -32%