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Holding193 | Sector | Position↕ | Traded↕ | Ownership↕ | Shares Δ↕ | Shares Δ % | Market Cap↕ | Owned Since↕ |
|---|---|---|---|---|---|---|---|---|
ETF ETF | $86.6M 11.0% | +$3.2M Bought | — 991.8K shares | 955.6K → 991.8K +$3.2M | +3.79% | — — | Q2 2015 Held for 10y 5m | |
ETF ETF | $76.4M 9.71% | +$817.1K Bought | — 232.8K shares | 230.3K → 232.8K +$817.1K | +1.08% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
Unknown Unknown | $76.3M 9.69% | +$4.1M Bought | — 1.0M shares | 991.7K → 1.0M +$4.1M | +5.71% | — — | Q4 2022 Held for 2y 11m | |
Computer Hardware Technology | $32.3M 4.11% | — | 0.034% 228.0K shares | — | — | $95.0B Large Cap | Q4 2022 Held for 2y 11m | |
Unknown Unknown | $24.5M 3.11% | +$53.0K Bought | — 68.9K shares | 68.8K → 68.9K +$53.0K | +0.22% | — — | Q4 2022 Held for 2y 11m | |
ETF ETF | $24.3M 3.08% | -$252.2K Sold | — 232.1K shares | 234.5K → 232.1K −$252.2K | -1.03% | — — | Q4 2021 Held for 3y 11m | |
ETF ETF | $22.7M 2.88% | +$349.0K Bought | — 155.7K shares | 153.3K → 155.7K +$349.0K | +1.56% | — — | Q2 2022 Held for 3y 5m | |
ETF ETF | $17.6M 2.24% | -$73.9K Sold | — 26.4K shares | 26.5K → 26.4K −$73.9K | -0.42% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $16.4M 2.09% | +$387.6K Bought | — 324.8K shares | 317.1K → 324.8K +$387.6K | +2.41% | — — | Q4 2016 Held for 8y 11m | |
ETF ETF | $14.9M 1.9% | -$109.6K Sold | — 40.9K shares | 41.2K → 40.9K −$109.6K | -0.73% | — — | Q4 2019 Held for 5y 11m | |
ETF ETF | $14.9M 1.89% | -$278.6K Sold | — 24.3K shares | 24.8K → 24.3K −$278.6K | -1.83% | — — | Q2 2015 Held for 10y 5m | |
ETF ETF | $14.7M 1.87% | +$154.8K Bought | — 290.1K shares | 287.0K → 290.1K +$154.8K | +1.06% | — — | Q4 2024 Held for 11 months | |
ETF ETF | $14.1M 1.79% | +$2.0M Bought | — 117.0K shares | 100.2K → 117.0K +$2.0M | +16.76% | — — | Q3 2014 Held for 11y 2m | |
ETF ETF | $13.6M 1.73% | +$494.8K Bought | — 136.0K shares | 131.1K → 136.0K +$494.8K | +3.77% | — — | Q3 2015 Held for 10y 2m | |
ETF ETF | $11.9M 1.52% | -$23.6K Sold | — 107.4K shares | 107.6K → 107.4K −$23.6K | -0.2% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
Software - Infrastructure Technology | $11.4M 1.45% | -$396.0K Sold | 0.138% 412.8K shares | 427.1K → 412.8K −$396.0K | -3.35% | $8.3B Mid Cap | Q2 2025 Held for 5 months | |
ETF ETF | $11.0M 1.4% | -$106.9K Sold | — 203.4K shares | 205.3K → 203.4K −$106.9K | -0.96% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $10.0M 1.27% | — | — 256.0K shares | — | — | — — | Q1 2025 Held for 8 months | |
ETF ETF | $9.6M 1.21% | -$2.9K Sold | — 68.4K shares | 68.4K → 68.4K −$2.9K | -0.03% | — — | Q2 2015 Held for 10y 5m | |
Unknown Unknown | $9.5M 1.21% | -$129.3K Sold | — 44.2K shares | 44.8K → 44.2K −$129.3K | -1.34% | — — | Q4 2022 Held for 2y 11m | |
ETF ETF | $9.5M 1.21% | +$104.7K Bought | — 109.3K shares | 108.1K → 109.3K +$104.7K | +1.11% | — — | Q1 2021 Held for 4y 8m | |
ETF ETF | $9.1M 1.16% | +$503.1K Bought | — 138.8K shares | 131.1K → 138.8K +$503.1K | +5.82% | — — | Q2 2015 Held for 10y 5m | |
ETF ETF | $9.1M 1.15% | +$517.4K Bought | — 13.5K shares | 12.8K → 13.5K +$517.4K | +6.05% | — — | Q1 2015 Held for 10y 8m | |
ETF ETF | $8.8M 1.12% | +$592.2 Bought | — 74.1K shares | 74.1K → 74.1K +$592.2 | +0.01% | — — | Q1 2020 Held for 5y 8m | |
Consumer Electronics Technology | $8.6M 1.09% | — | 0.0% 33.8K shares | — | — | $3.78T Mega Cap | Q4 2013 Held for 11y 11m | |
ETF ETF | $8.0M 1.02% | -$14.7K Sold | — 133.4K shares | 133.6K → 133.4K −$14.7K | -0.18% | — — | Q1 2016 Held for 9y 8m | |
ETF ETF | $7.7M 0.975% | — | — 12.8K shares | — | — | — — | Q1 2025 Held for 8 months | |
ETF ETF | $7.5M 0.956% | +$1.4K Bought | — 105.4K shares | 105.4K → 105.4K +$1.4K | +0.02% | — — | Q3 2014 Held for 11y 2m | |
ETF ETF | $7.4M 0.941% | — | — 15.4K shares | — | — | — — | Q2 2019 Held for 6y 5m | |
ETF ETF | $6.8M 0.867% | +$280.2K Bought | — 39.1K shares | 37.5K → 39.1K +$280.2K | +4.28% | — — | Q4 2020 Held for 4y 11m | |
ETF ETF | $6.5M 0.824% | +$271.6K Bought | — 47.0K shares | 45.1K → 47.0K +$271.6K | +4.37% | — — | Q3 2016 Held for 9y 2m | |
ETF ETF | $6.4M 0.809% | -$39.8K Sold | — 97.6K shares | 98.2K → 97.6K −$39.8K | -0.62% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $5.8M 0.74% | -$238.9K Sold | — 40.8K shares | 42.5K → 40.8K −$238.9K | -3.94% | — — | Q1 2017 Held for 8y 8m | |
ETF ETF | $5.8M 0.737% | +$16.9K Bought | — 60.1K shares | 59.9K → 60.1K +$16.9K | +0.29% | — — | Q2 2015 Held for 10y 5m | |
ETF ETF | $4.9M 0.624% | +$1.0K Bought | — 70.8K shares | 70.8K → 70.8K +$1.0K | +0.02% | — — | Q1 2020 Held for 5y 8m | |
ETF ETF | $4.5M 0.571% | +$104.5K Bought | — 61.1K shares | 59.7K → 61.1K +$104.5K | +2.38% | — — | Q4 2024 Held for 11 months | |
ETF ETF | $4.5M 0.569% | -$35.8K Sold | — 15.9K shares | 16.0K → 15.9K −$35.8K | -0.79% | — — | Q4 2019 Held for 5y 11m | |
ETF ETF | $4.3M 0.549% | -$36.9K Sold | — 14.0K shares | 14.2K → 14.0K −$36.9K | -0.85% | — — | Q2 2020 Held for 5y 5m | |
ETF ETF | $4.3M 0.547% | — | — 11.4K shares | — | — | — — | Q4 2015 Held for 9y 11m | |
ETF ETF | $4.2M 0.538% | -$156.1K Sold | — 30.4K shares | 31.6K → 30.4K −$156.1K | -3.55% | — — | Q3 2016 Held for 9y 2m | |
ETF ETF | $4.2M 0.537% | -$331.1K Sold | — 79.1K shares | 85.3K → 79.1K −$331.1K | -7.27% | — — | Q3 2022 Held for 3y 2m | |
ETF ETF | $4.2M 0.527% | — | — 33.0K shares | — | — | — — | Q4 2022 Held for 2y 11m | |
ETF ETF | $3.8M 0.478% | +$244.7K Bought | — 20.2K shares | 18.9K → 20.2K +$244.7K | +6.95% | — — | Q2 2017 Held for 8y 5m | |
ETF ETF | $3.7M 0.466% | — | — 35.1K shares | — | — | — — | ≤ Q2 2013 Held for 12y 5m+ | |
Biotechnology Healthcare | $3.5M 0.449% | — | 1.01% 595.5K shares | — | — | $350.3M Small Cap | Q2 2024 Held for 1y 5m | |
Software - Infrastructure Technology | $3.4M 0.431% | +$215.5K Bought | 0.0% 6.5K shares | 6.1K → 6.5K +$215.5K | +6.79% | $3.85T Mega Cap | Q2 2019 Held for 6y 5m | |
ETF ETF | $3.3M 0.419% | +$165.5K Bought | — 23.6K shares | 22.4K → 23.6K +$165.5K | +5.28% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $3.2M 0.412% | — | — 15.9K shares | — | — | — — | Q2 2021 Held for 4y 5m | |
ETF ETF | $3.2M 0.412% | -$45.7K Sold | — 13.4K shares | 13.6K → 13.4K −$45.7K | -1.39% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $3.0M 0.386% | +$1.7M Bought | — 14.7K shares | 6.3K → 14.7K +$1.7M | +134.35% | — — | Q2 2025 Held for 5 months |