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State Street Consumer Staples Select Sector SPDR ETF

Name Holding Trade Value Shares
Change
Change in
Stake
FDCDDQ
551
Federation des caisses Desjardins du Quebec
Quebec, Canada
$830K +$356K +4,742 +73%
PVH
552
Psagot Value Holdings
Israel
$830K +$301K +4,014 +55%
WIM
553
Westside Investment Management
California
$824K +$2.55K +34 +0.3%
BWP
554
Balboa Wealth Partners
Arizona
$820K +$126K +1,674 +18%
NCM
555
Narwhal Capital Management
Georgia
$809K -$625K -8,325 -43%
IAIM
556
International Assets Investment Management
Florida
$807K +$94.3K +1,257 +13%
SFM
557
Signet Financial Management
New Jersey
$807K +$14.9K +199 +2%
AFG
558
Atomi Financial Group
New York
$804K -$129K -1,724 -14%
RWA
559
Roberts Wealth Advisors
California
$802K -$27.6K -368 -3%
IAN
560
Integrated Advisors Network
Texas
$800K +$16K +213 +2%
LCM
561
Lewis Capital Management
California
$797K +$300 +4 +0%
PWP
562
Phillips Wealth Planners
Mississippi
$795K +$90.8K +1,210 +13%
LNC
563
Lincoln National Corp
Pennsylvania
$793K +$40.3K +537 +5%
NA
564
Navellier & Associates
Nevada
$793K +$802K +10,687 New
HAS
565
HBW Advisory Services
California
$788K -$137K -1,826 -15%
SWA
566
Sutton Wealth Advisors
Florida
$780K
SFG
567
Summit Financial Group
West Virginia
$778K
HT
568
Headlands Technologies
Illinois
$775K +$784K +10,445 New
NSIM
569
North Star Investment Management
Illinois
$773K +$1.58K +21 +0.2%
FHA
570
Flagship Harbor Advisors
Massachusetts
$771K -$6.34M -84,486 -89%
NB
571
NBT Bank
New York
$771K +$66.6K +888 +9%
Chevy Chase Trust
572
Chevy Chase Trust
Maryland
$770K -$28.1K -375 -3%
MWM
573
Mission Wealth Management
California
$756K -$118K -1,571 -13%
LC
574
Lavaca Capital
Texas
$755K +$202K +2,695 +36%
BAM
575
Belpointe Asset Management
Nevada
$753K -$3.85M -51,331 -83%