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State Street Consumer Staples Select Sector SPDR ETF

Name Holding Trade Value Shares
Change
Change in
Stake
SIG
701
Spinnaker Investment Group
California
$495K +$64.4K +825 +15%
NSIM
702
North Star Investment Management
Illinois
$492K +$34.8K +446 +8%
FCFC
703
First Citizens Financial Corp
Iowa
$491K +$73.2K +938 +17%
IP
704
Investment Partners
Ohio
$489K
BFF
705
Byrne Financial Freedom
Massachusetts
$485K -$1.46M -18,668 -75%
SFG
706
Strive Financial Group
Indiana
$485K +$487K +6,240 New
WT
707
Whittier Trust
California
$483K -$15.5K -198 -3%
TPWA
708
Twin Peaks Wealth Advisors
California
$481K +$5.93K +76 +1%
FNBOH
709
First National Bank of Hutchinson
Kansas
$480K -$890K -11,403 -65%
CAMG
710
CWA Asset Management Group
Florida
$478K -$72.2K -925 -13%
SCTC
711
Sanibel Captiva Trust Company
Florida
$471K +$20K +256 +4%
GFG
712
Grantvest Financial Group
New Jersey
$471K -$85K -1,089 -15%
IIA
713
Integral Investment Advisors
California
$471K -$16.9K -216 -3%
ICM
714
III Capital Management
Florida
$470K -$2.34M -30,000 -83%
GAB
715
German American Bancorp
Indiana
$469K -$364K -4,658 -44%
LIA
716
Lynx Investment Advisory
District of Columbia
$468K -$98.5K -1,262 -17%
TSS
717
Two Sigma Securities
New York
$465K +$164K +2,096 +54%
SIP
718
Snowwater Investment Partners
Connecticut
$460K +$462K +5,925 New
KP
719
Keel Point
Alabama
$459K +$57.5K +737 +14%
FPGK
720
Financial Partners Group (Kansas)
Kansas
$458K +$37.7K +483 +10%
BHA
721
Beech Hill Advisors
New York
$457K +$101K +1,294 +28%
DWA
722
Dougherty Wealth Advisers
Minnesota
$457K
Mirae Asset Global ETFs Holdings
723
Mirae Asset Global ETFs Holdings
Hong Kong
$456K -$2.09M -26,757 -82%
B
724
Bailard
California
$454K +$45.4K +582 +11%
AIM
725
Allen Investment Management
New York
$452K