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Holding574 | Sector | Position↕ | Traded↕ | Ownership↕ | Shares Δ↕ | Shares Δ % | Market Cap↕ | Owned Since↕ |
|---|---|---|---|---|---|---|---|---|
ETF ETF | $177.9M 14.82% | -$89.7K Sold | — 265.8K shares | 265.9K → 265.8K −$89.7K | -0.05% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $113.1M 9.42% | +$4.7M Bought | — 1.9M shares | 1.8M → 1.9M +$4.7M | +4.38% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $88.9M 7.41% | +$5.0M Bought | — 1.0M shares | 961.6K → 1.0M +$5.0M | +5.91% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $66.8M 5.57% | -$1.2M Sold | — 2.5M shares | 2.6M → 2.5M −$1.2M | -1.71% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $64.5M 5.37% | +$734.0K Bought | — 988.1K shares | 976.8K → 988.1K +$734.0K | +1.15% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $58.7M 4.89% | +$447.2K Bought | — 493.7K shares | 490.0K → 493.7K +$447.2K | +0.77% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $54.5M 4.54% | +$2.7M Bought | — 2.2M shares | 2.1M → 2.2M +$2.7M | +5.13% | — — | Q4 2014 Held for 10y 11m | |
ETF ETF | $41.8M 3.48% | +$759.5K Bought | — 787.8K shares | 773.4K → 787.8K +$759.5K | +1.85% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $33.4M 2.78% | +$991.6K Bought | — 176.2K shares | 171.0K → 176.2K +$991.6K | +3.06% | — — | Q2 2023 Held for 2y 5m | |
Unknown Unknown | $33.4M 2.78% | +$891.2K Bought | — 436.5K shares | 424.9K → 436.5K +$891.2K | +2.74% | — — | Q2 2023 Held for 2y 5m | |
ETF ETF | $32.7M 2.73% | +$1.3M Bought | — 344.0K shares | 330.8K → 344.0K +$1.3M | +4.0% | — — | Q2 2022 Held for 3y 5m | |
ETF ETF | $29.2M 2.43% | -$379.5K Sold | — 1.3M shares | 1.3M → 1.3M −$379.5K | -1.28% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $26.6M 2.22% | +$5.9M Bought | — 264.4K shares | 205.5K → 264.4K +$5.9M | +28.64% | — — | Q4 2023 Held for 1y 11m | |
ETF ETF | $18.4M 1.53% | -$174.9K Sold | — 619.8K shares | 625.7K → 619.8K −$174.9K | -0.94% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $18.2M 1.52% | +$1.5M Bought | — 336.4K shares | 308.1K → 336.4K +$1.5M | +9.19% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $17.4M 1.45% | -$157.3K Sold | — 622.1K shares | 627.8K → 622.1K −$157.3K | -0.9% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
Consumer Electronics Technology | $16.5M 1.38% | -$61.6K Sold | 0.0% 64.9K shares | 65.1K → 64.9K −$61.6K | -0.37% | $3.78T Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Banks - Diversified Financial Services | $13.6M 1.13% | -$186.7K Sold | 0.002% 43.1K shares | 43.7K → 43.1K −$186.7K | -1.35% | $867.35B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $12.7M 1.06% | -$1.9M Sold | — 20.8K shares | 23.9K → 20.8K −$1.9M | -12.9% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $11.8M 0.986% | -$207.4K Sold | — 323.7K shares | 329.4K → 323.7K −$207.4K | -1.72% | — — | Q1 2018 Held for 7y 8m | |
Software - Infrastructure Technology | $10.5M 0.873% | +$273.0K Bought | 0.0% 20.2K shares | 19.7K → 20.2K +$273.0K | +2.67% | $3.85T Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Internet Content & Information Communication Services | $6.7M 0.559% | -$505.6K Sold | 0.0% 27.6K shares | 29.7K → 27.6K −$505.6K | -7.01% | $2.95T Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $6.1M 0.511% | +$34.0K Bought | — 35.2K shares | 35.0K → 35.2K +$34.0K | +0.56% | — — | Q2 2017 Held for 8y 5m | |
ETF ETF | $5.1M 0.424% | -$116.5K Sold | — 152.6K shares | 156.1K → 152.6K −$116.5K | -2.24% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
Internet Content & Information Communication Services | $4.9M 0.41% | -$77.0K Sold | 0.0% 20.2K shares | 20.5K → 20.2K −$77.0K | -1.54% | $2.95T Mega Cap | Q3 2019 Held for 6y 2m | |
ETF ETF | $4.9M 0.408% | +$44.9K Bought | — 23.5K shares | 23.2K → 23.5K +$44.9K | +0.92% | — — | Q2 2017 Held for 8y 5m | |
Oil & Gas Integrated Energy | $4.8M 0.402% | -$50.8K Sold | 0.001% 42.8K shares | 43.3K → 42.8K −$50.8K | -1.04% | $480.68B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Drug Manufacturers - General Healthcare | $4.8M 0.401% | -$78.4K Sold | 0.001% 26.0K shares | 26.4K → 26.0K −$78.4K | -1.6% | $446.55B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $4.7M 0.391% | +$390.7K Bought | — 45.6K shares | 41.8K → 45.6K +$390.7K | +9.07% | — — | Q4 2023 Held for 1y 11m | |
Specialty Retail Consumer Cyclical | $4.7M 0.39% | +$32.3K Bought | 0.0% 21.3K shares | 21.2K → 21.3K +$32.3K | +0.69% | $2.34T Mega Cap | Q1 2018 Held for 7y 8m | |
Information Technology Services Technology | $4.4M 0.363% | -$101.0K Sold | 0.002% 15.5K shares | 15.8K → 15.5K −$101.0K | -2.26% | $262.84B Mega Cap | Q2 2016 Held for 9y 5m | |
Aerospace & Defense Industrials | $3.9M 0.323% | -$21.3K Sold | 0.002% 23.2K shares | 23.3K → 23.2K −$21.3K | -0.54% | $223.98B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $3.5M 0.293% | -$14.7K Sold | — 5.3K shares | 5.3K → 5.3K −$14.7K | -0.42% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
Semiconductors Technology | $3.4M 0.283% | -$87.1K Sold | 0.0% 18.2K shares | 18.7K → 18.2K −$87.1K | -2.5% | $4.54T Mega Cap | Q2 2022 Held for 3y 5m | |
Beverages - Non-Alcoholic Consumer Defensive | $3.3M 0.277% | +$38.6K Bought | 0.002% 23.7K shares | 23.4K → 23.7K +$38.6K | +1.18% | $192.27B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $3.3M 0.273% | +$21.1K Bought | — 23.2K shares | 23.1K → 23.2K +$21.1K | +0.65% | — — | Q2 2022 Held for 3y 5m | |
Semiconductors Technology | $3.3M 0.273% | -$40.9K Sold | 0.002% 16.0K shares | 16.2K → 16.0K −$40.9K | -1.24% | $163.10B Large Cap | Q2 2018 Held for 7y 5m | |
ETF ETF | $3.2M 0.266% | -$45.3K Sold | — 25.3K shares | 25.7K → 25.3K −$45.3K | -1.4% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $3.0M 0.247% | — | — 21.5K shares | — | — | — — | Q4 2013 Held for 11y 11m | |
Discount Stores Consumer Defensive | $2.9M 0.243% | -$129.1K Sold | 0.0% 28.3K shares | 29.6K → 28.3K −$129.1K | -4.24% | $821.68B Mega Cap | Q1 2016 Held for 9y 8m | |
ETF ETF | $2.9M 0.24% | +$1.3M Bought | — 10.2K shares | 5.5K → 10.2K +$1.3M | +86.97% | — — | Q3 2013 Held for 12y 2m | |
Telecommunications Services Communication Services | $2.9M 0.238% | -$204.9K Sold | 0.002% 65.1K shares | 69.8K → 65.1K −$204.9K | -6.69% | $185.31B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Drug Manufacturers - General Healthcare | $2.8M 0.23% | -$180.1K Sold | 0.001% 11.9K shares | 12.7K → 11.9K −$180.1K | -6.12% | $409.03B Mega Cap | Q3 2013 Held for 12y 2m | |
Restaurants Consumer Cyclical | $2.8M 0.23% | -$86.6K Sold | 0.001% 9.1K shares | 9.4K → 9.1K −$86.6K | -3.04% | $216.86B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Banks - Diversified Financial Services | $2.6M 0.214% | -$34.9K Sold | 0.001% 25.3K shares | 25.6K → 25.3K −$34.9K | -1.34% | $186.85B Large Cap | Q2 2022 Held for 3y 5m | |
Hardware, Equipment & Parts Technology | $2.5M 0.206% | -$266.6K Sold | 0.004% 30.2K shares | 33.4K → 30.2K −$266.6K | -9.73% | $70.3B Large Cap | Q2 2022 Held for 3y 5m | |
ETF ETF | $2.5M 0.205% | -$35.5K Sold | — 41.1K shares | 41.7K → 41.1K −$35.5K | -1.42% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
Drug Manufacturers - General Healthcare | $2.4M 0.201% | -$31.3K Sold | 0.0% 3.2K shares | 3.2K → 3.2K −$31.3K | -1.28% | $684.00B Mega Cap | Q4 2016 Held for 8y 11m | |
ETF ETF | $2.4M 0.198% | +$89.8K Bought | — 101.3K shares | 97.5K → 101.3K +$89.8K | +3.92% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
Communication Equipment Technology | $2.3M 0.192% | -$169.7K Sold | 0.001% 33.7K shares | 36.2K → 33.7K −$169.7K | -6.85% | $270.48B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ |