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Holding421 | Sector | Position↕ | Traded↕ | Ownership↕ | Shares Δ↕ | Shares Δ % | Market Cap↕ | Owned Since↕ |
|---|---|---|---|---|---|---|---|---|
ETF ETF | $56.7M 11.38% | -$378.8K Sold | — 84.7K shares | 85.3K → 84.7K −$378.8K | -0.66% | — — | Q2 2017 Held for 8y 5m | |
ETF ETF | $54.8M 11.0% | +$3.7M Bought | — 701.7K shares | 654.7K → 701.7K +$3.7M | +7.18% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $35.2M 7.06% | -$560.5K Sold | — 403.2K shares | 409.6K → 403.2K −$560.5K | -1.57% | — — | Q1 2016 Held for 9y 8m | |
ETF ETF | $30.8M 6.18% | +$67.6K Bought | — 104.8K shares | 104.6K → 104.8K +$67.6K | +0.22% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $20.4M 4.08% | +$30.9K Bought | — 411.5K shares | 410.8K → 411.5K +$30.9K | +0.15% | — — | Q1 2016 Held for 9y 8m | |
ETF ETF | $15.1M 3.03% | +$1.1M Bought | — 648.7K shares | 600.2K → 648.7K +$1.1M | +8.07% | — — | Q2 2020 Held for 5y 5m | |
ETF ETF | $13.4M 2.7% | -$729.0K Sold | — 28.0K shares | 29.5K → 28.0K −$729.0K | -5.14% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $13.2M 2.64% | -$95.7K Sold | — 110.8K shares | 111.6K → 110.8K −$95.7K | -0.72% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $11.9M 2.38% | -$199.2K Sold | — 38.6K shares | 39.2K → 38.6K −$199.2K | -1.65% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $10.4M 2.09% | -$660.0K Sold | — 55.8K shares | 59.3K → 55.8K −$660.0K | -5.97% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $10.3M 2.06% | -$297.5K Sold | — 189.4K shares | 194.9K → 189.4K −$297.5K | -2.82% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $9.3M 1.86% | +$242.4K Bought | — 32.9K shares | 32.1K → 32.9K +$242.4K | +2.68% | — — | Q1 2019 Held for 6y 8m | |
ETF ETF | $9.2M 1.84% | -$220.4K Sold | — 80.7K shares | 82.6K → 80.7K −$220.4K | -2.34% | — — | Q4 2013 Held for 11y 11m | |
Unknown Unknown | $8.7M 1.74% | -$507.3K Sold | — 24.4K shares | 25.9K → 24.4K −$507.3K | -5.52% | — — | Q4 2022 Held for 2y 11m | |
Unknown Unknown | $8.3M 1.67% | -$1.1M Sold | — 114.3K shares | 128.8K → 114.3K −$1.1M | -11.32% | — — | Q4 2022 Held for 2y 11m | |
ETF ETF | $7.4M 1.48% | -$168.9K Sold | — 151.1K shares | 154.6K → 151.1K −$168.9K | -2.24% | — — | Q3 2017 Held for 8y 2m | |
ETF ETF | $7.3M 1.46% | -$107.7K Sold | — 41.7K shares | 42.3K → 41.7K −$107.7K | -1.46% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $7.2M 1.44% | -$325.5K Sold | — 59.3K shares | 62.0K → 59.3K −$325.5K | -4.35% | — — | Q4 2013 Held for 11y 11m | |
Consumer Electronics Technology | $7.0M 1.41% | +$644.5K Bought | 0.0% 27.7K shares | 25.1K → 27.7K +$644.5K | +10.06% | $3.78T Mega Cap | Q1 2014 Held for 11y 8m | |
Unknown Unknown | $6.9M 1.39% | -$504.1K Sold | — 23.6K shares | 25.3K → 23.6K −$504.1K | -6.77% | — — | Q4 2022 Held for 2y 11m | |
ETF ETF | $6.2M 1.24% | -$80.5K Sold | — 76.0K shares | 77.0K → 76.0K −$80.5K | -1.29% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $6.0M 1.2% | -$33.1K Sold | — 75.9K shares | 76.3K → 75.9K −$33.1K | -0.55% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $5.8M 1.16% | +$5.8M New | — 89.2K shares | 0 → 89.2K +$5.8M | New | — — | Q3 2025 Held for 2 months | |
ETF ETF | $5.3M 1.06% | +$24.4K Bought | — 47.6K shares | 47.4K → 47.6K +$24.4K | +0.46% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $5.1M 1.02% | -$317.2K Sold | — 77.8K shares | 82.6K → 77.8K −$317.2K | -5.88% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $4.9M 0.99% | -$291.0K Sold | — 23.9K shares | 25.3K → 23.9K −$291.0K | -5.57% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $4.6M 0.92% | -$110.6K Sold | — 67.6K shares | 69.2K → 67.6K −$110.6K | -2.36% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $4.5M 0.911% | -$96.9K Sold | — 36.0K shares | 36.8K → 36.0K −$96.9K | -2.09% | — — | Q2 2015 Held for 10y 5m | |
ETF ETF | $4.2M 0.841% | -$276.9K Sold | — 63.6K shares | 67.8K → 63.6K −$276.9K | -6.19% | — — | Q3 2017 Held for 8y 2m | |
ETF ETF | $3.9M 0.792% | -$58.5K Sold | — 30.4K shares | 30.9K → 30.4K −$58.5K | -1.46% | — — | Q4 2013 Held for 11y 11m | |
Software - Infrastructure Technology | $3.7M 0.746% | -$46.1K Sold | 0.0% 7.2K shares | 7.3K → 7.2K −$46.1K | -1.23% | $3.85T Mega Cap | Q4 2013 Held for 11y 11m | |
ETF ETF | $3.7M 0.741% | -$240.0K Sold | — 38.5K shares | 41.0K → 38.5K −$240.0K | -6.1% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $3.6M 0.725% | -$61.8K Sold | — 9.9K shares | 10.1K → 9.9K −$61.8K | -1.68% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $3.6M 0.716% | -$89.8K Sold | — 14.7K shares | 15.1K → 14.7K −$89.8K | -2.45% | — — | Q4 2013 Held for 11y 11m | |
Banks - Diversified Financial Services | $3.5M 0.706% | -$29.0K Sold | 0.0% 11.2K shares | 11.2K → 11.2K −$29.0K | -0.82% | $867.35B Mega Cap | Q4 2014 Held for 10y 11m | |
ETF ETF | $3.5M 0.704% | -$260.9K Sold | — 16.8K shares | 18.0K → 16.8K −$260.9K | -6.93% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $3.1M 0.632% | +$263.9K Bought | — 62.2K shares | 57.0K → 62.2K +$263.9K | +9.15% | — — | Q1 2014 Held for 11y 8m | |
Drug Manufacturers - General Healthcare | $3.1M 0.616% | -$192.2K Sold | 0.001% 13.3K shares | 14.1K → 13.3K −$192.2K | -5.89% | $409.03B Mega Cap | Q4 2018 Held for 6y 11m | |
ETF ETF | $3.0M 0.593% | -$381.9K Sold | — 9.9K shares | 11.2K → 9.9K −$381.9K | -11.44% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $2.5M 0.508% | -$67.6K Sold | — 10.0K shares | 10.2K → 10.0K −$67.6K | -2.6% | — — | Q4 2013 Held for 11y 11m | |
ETF ETF | $2.4M 0.486% | +$15.3K Bought | — 3.6K shares | 3.6K → 3.6K +$15.3K | +0.64% | — — | Q4 2014 Held for 10y 11m | |
ETF ETF | $2.4M 0.476% | +$111.9K Bought | — 25.5K shares | 24.3K → 25.5K +$111.9K | +4.95% | — — | Q4 2022 Held for 2y 11m | |
ETF ETF | $2.2M 0.443% | -$12.8K Sold | — 36.8K shares | 37.1K → 36.8K −$12.8K | -0.58% | — — | Q4 2016 Held for 8y 11m | |
ETF ETF | $2.0M 0.406% | -$1.8M Sold | — 23.2K shares | 44.0K → 23.2K −$1.8M | -47.33% | — — | Q1 2019 Held for 6y 8m | |
ETF ETF | $1.8M 0.366% | +$199.5K Bought | — 12.5K shares | 11.2K → 12.5K +$199.5K | +12.27% | — — | Q4 2022 Held for 2y 11m | |
Medical - Devices Healthcare | $1.8M 0.353% | -$15.9K Sold | 0.001% 4.8K shares | 4.8K → 4.8K −$15.9K | -0.9% | $141.33B Large Cap | Q4 2013 Held for 11y 11m | |
ETF ETF | $1.7M 0.338% | +$73.8K Bought | — 58.3K shares | 55.7K → 58.3K +$73.8K | +4.58% | — — | Q1 2020 Held for 5y 8m | |
ETF ETF | $1.7M 0.337% | -$15.3K Sold | — 11.9K shares | 12.0K → 11.9K −$15.3K | -0.9% | — — | Q4 2013 Held for 11y 11m | |
Medical - Devices Healthcare | $1.6M 0.331% | -$29.5K Sold | 0.001% 12.3K shares | 12.5K → 12.3K −$29.5K | -1.76% | $233.12B Mega Cap | Q4 2013 Held for 11y 11m | |
ETF ETF | $1.6M 0.317% | — | — 14.8K shares | — | — | — — | Q2 2025 Held for 5 months |