Silicon Valley Capital Partners Buys iShares Edge MSCI Min Volatility USA ETF, Qualcomm Inc …

Silicon Valley Capital Partners Buys iShares Edge MSCI Min Volatility USA ETF, Qualcomm Inc, NVIDIA Corp, Sells Bloom Energy Corp, iShares Core …

Investment company Silicon Valley Capital Partners (Current Portfolio) buys iShares Edge MSCI Min Volatility USA ETF, Qualcomm Inc, NVIDIA Corp, American Tower Corp, Boeing Co, sells Bloom Energy Corp, iShares Core S&P Mid-Cap ETF, Destination Maternity Corp during the 3-months ended 2019Q2, according to the most recent filings of the investment company, Silicon Valley Capital Partners. As of 2019Q2, Silicon Valley Capital Partners owns 33 stocks with a total value of $230 million. These are the details of the buys and sells.

For the details of Silicon Valley Capital Partners’s stock buys and sells,go to https://www.gurufocus.com/guru/silicon+valley+capital+partners/current-portfolio/portfolioportfolio

These are the top 5 holdings of Silicon Valley Capital Partners

  1. SPDR S&P 500 ETF Trust (SPY) – 335,863 shares, 42.78% of the total portfolio. Shares reduced by 1.9%
  2. PowerShares QQQ Trust Ser 1 (QQQ) – 224,450 shares, 18.22% of the total portfolio. Shares added by 11.07%
  3. iShares S&P 500 Growth ETF (IVW) – 164,300 shares, 12.80% of the total portfolio. Shares added by 0.25%
  4. iShares Edge MSCI Min Volatility USA ETF (USMV) – 240,204 shares, 6.45% of the total portfolio. Shares added by 21.86%
  5. Vanguard Growth ETF (VUG) – 67,436 shares, 4.79% of the total portfolio. Shares added by 4.64%

New Purchase: Qualcomm Inc (QCOM)

Silicon Valley Capital Partners initiated holding in Qualcomm Inc. The purchase prices were between $55.9 and $89.29, with an estimated average price of $73.23. The stock is now traded at around $71.26. The impact to a portfolio due to this purchase was 0.48%. The holding were 14,551 shares as of .

New Purchase: NVIDIA Corp (NVDA)

Silicon Valley Capital Partners initiated holding in NVIDIA Corp. The purchase prices were between $133.78 and $192.1, with an estimated average price of $165.75. The stock is now traded at around $158.26. The impact to a portfolio due to this purchase was 0.18%. The holding were 2,514 shares as of .

New Purchase: American Tower Corp (AMT)

Silicon Valley Capital Partners initiated holding in American Tower Corp. The purchase prices were between $189.85 and $217.52, with an estimated average price of $200.93. The stock is now traded at around $221.02. The impact to a portfolio due to this purchase was 0.09%. The holding were 1,062 shares as of .

New Purchase: Sutter Gold Mining Inc (SGMNF)

Silicon Valley Capital Partners initiated holding in Sutter Gold Mining Inc. The purchase prices were between $0.01 and $0.01, with an estimated average price of $0.01. The stock is now traded at around $0.01. The impact to a portfolio due to this purchase was less than 0.01%. The holding were 10,000 shares as of .

Added: iShares Edge MSCI Min Volatility USA ETF (USMV)

Silicon Valley Capital Partners added to a holding in iShares Edge MSCI Min Volatility USA ETF by 21.86%. The purchase prices were between $58.77 and $62.47, with an estimated average price of $60.01. The stock is now traded at around $63.42. The impact to a portfolio due to this purchase was 1.16%. The holding were 240,204 shares as of .

Added: Boeing Co (BA)

Silicon Valley Capital Partners added to a holding in Boeing Co by 51.03%. The purchase prices were between $337.37 and $395.86, with an estimated average price of $364.73. The stock is now traded at around $336.35. The impact to a portfolio due to this purchase was 0.05%. The holding were 1,024 shares as of .

Sold Out: Bloom Energy Corp (BE)

Silicon Valley Capital Partners sold out a holding in Bloom Energy Corp. The sale prices were between $10.1 and $15.26, with an estimated average price of $12.26.

Sold Out: iShares Core S&P Mid-Cap ETF (IJH)

Silicon Valley Capital Partners sold out a holding in iShares Core S&P Mid-Cap ETF. The sale prices were between $180.31 and $197.09, with an estimated average price of $190.89.

Sold Out: Destination Maternity Corp (DEST)

Silicon Valley Capital Partners sold out a holding in Destination Maternity Corp. The sale prices were between $0.78 and $2.52, with an estimated average price of $1.82.

Here is the complete portfolio of Silicon Valley Capital Partners. Also check out:

1. Silicon Valley Capital Partners’s Undervalued Stocks

2. Silicon Valley Capital Partners’s Top Growth Companies, and

3. Silicon Valley Capital Partners’s High Yield stocks

4. Stocks that Silicon Valley Capital Partners keeps buying

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San Francisco Sentry Investment Group (ca) Buys Vanguard FTSE All-World ex-US ETF, Vanguard …

San Francisco Sentry Investment Group (ca) Buys Vanguard FTSE … UnitedHealth Group Inc, Vulcan Materials Co, CME Group Inc, DuPont de …

San Francisco, CA, based Investment company San Francisco Sentry Investment Group (ca) (Current Portfolio) buys Vanguard FTSE All-World ex-US ETF, Vanguard REIT ETF, The Walt Disney Co, SPDR S&P 500 ETF Trust, Utilities Select Sector SPDR Fund, sells Caterpillar Inc, UnitedHealth Group Inc, Vulcan Materials Co, CME Group Inc, DuPont de Nemours Inc during the 3-months ended 2019Q2, according to the most recent filings of the investment company, San Francisco Sentry Investment Group (ca). As of 2019Q2, San Francisco Sentry Investment Group (ca) owns 874 stocks with a total value of $210 million. These are the details of the buys and sells.

For the details of SAN FRANCISCO SENTRY INVESTMENT GROUP (CA)’s stock buys and sells,go to https://www.gurufocus.com/guru/san+francisco+sentry+investment+group+%28ca%29/current-portfolio/portfolioportfolio

These are the top 5 holdings of SAN FRANCISCO SENTRY INVESTMENT GROUP (CA)

  1. Apple Inc (AAPL) – 38,519 shares, 3.63% of the total portfolio. Shares reduced by 5.22%
  2. Visa Inc (V) – 36,580 shares, 3.02% of the total portfolio. Shares reduced by 3.14%
  3. Adverum Biotechnologies Inc (ADVM) – 480,000 shares, 2.72% of the total portfolio.
  4. Amazon.com Inc (AMZN) – 2,858 shares, 2.57% of the total portfolio. Shares reduced by 4.77%
  5. Alphabet Inc (GOOGL) – 4,589 shares, 2.36% of the total portfolio. Shares reduced by 4.97%

New Purchase: Air Lease Corp (AL)

San Francisco Sentry Investment Group (ca) initiated holding in Air Lease Corp. The purchase prices were between $35.42 and $41.34, with an estimated average price of $38.11. The stock is now traded at around $40.17. The impact to a portfolio due to this purchase was 0.17%. The holding were 8,700 shares as of .

New Purchase: iShares iBoxx $ Investment Grade Corporate Bond ET (LQD)

San Francisco Sentry Investment Group (ca) initiated holding in iShares iBoxx $ Investment Grade Corporate Bond ET. The purchase prices were between $118.17 and $124.37, with an estimated average price of $120.06. The stock is now traded at around $126.31. The impact to a portfolio due to this purchase was 0.09%. The holding were 1,522 shares as of .

New Purchase: iShares U.S. Preferred Stock (PFF)

San Francisco Sentry Investment Group (ca) initiated holding in iShares U.S. Preferred Stock. The purchase prices were between $36.27 and $37.09, with an estimated average price of $36.64. The stock is now traded at around $37.03. The impact to a portfolio due to this purchase was 0.08%. The holding were 4,360 shares as of .

New Purchase: IAA Inc (IAA)

San Francisco Sentry Investment Group (ca) initiated holding in IAA Inc. The purchase prices were between $36.57 and $40, with an estimated average price of $38.68. The stock is now traded at around $47.01. The impact to a portfolio due to this purchase was 0.07%. The holding were 3,573 shares as of .

New Purchase: BlackRock Taxable Municipal Bond Trust (BBN)

San Francisco Sentry Investment Group (ca) initiated holding in BlackRock Taxable Municipal Bond Trust. The purchase prices were between $22.36 and $23.73, with an estimated average price of $23.09. The stock is now traded at around $24.39. The impact to a portfolio due to this purchase was 0.07%. The holding were 6,300 shares as of .

New Purchase: Invesco S&P 500 High Dividend Low Volatility ETF (SPHD)

San Francisco Sentry Investment Group (ca) initiated holding in Invesco S&P 500 High Dividend Low Volatility ETF. The purchase prices were between $39.89 and $43.31, with an estimated average price of $42.06. The stock is now traded at around $41.15. The impact to a portfolio due to this purchase was 0.06%. The holding were 3,161 shares as of .

Added: Vanguard FTSE All-World ex-US ETF (VEU)

San Francisco Sentry Investment Group (ca) added to a holding in Vanguard FTSE All-World ex-US ETF by 1347.81%. The purchase prices were between $48.72 and $51.74, with an estimated average price of $50.46. The stock is now traded at around $49.01. The impact to a portfolio due to this purchase was 0.88%. The holding were 39,091 shares as of .

Added: Vanguard REIT ETF (VNQ)

San Francisco Sentry Investment Group (ca) added to a holding in Vanguard REIT ETF by 112.64%. The purchase prices were between $84.55 and $91.52, with an estimated average price of $87.51. The stock is now traded at around $90.96. The impact to a portfolio due to this purchase was 0.74%. The holding were 33,750 shares as of .

Added: The Walt Disney Co (DIS)

San Francisco Sentry Investment Group (ca) added to a holding in The Walt Disney Co by 95.58%. The purchase prices were between $111.96 and $142.02, with an estimated average price of $132.62. The stock is now traded at around $137.89. The impact to a portfolio due to this purchase was 0.73%. The holding were 22,462 shares as of .

Added: SPDR S&P 500 ETF Trust (SPY)

San Francisco Sentry Investment Group (ca) added to a holding in SPDR S&P 500 ETF Trust by 101.66%. The purchase prices were between $274.57 and $295.86, with an estimated average price of $287.91. The stock is now traded at around $293.62. The impact to a portfolio due to this purchase was 0.63%. The holding were 8,992 shares as of .

Added: Utilities Select Sector SPDR Fund (XLU)

San Francisco Sentry Investment Group (ca) added to a holding in Utilities Select Sector SPDR Fund by 65.53%. The purchase prices were between $56.94 and $61.24, with an estimated average price of $58.73. The stock is now traded at around $60.80. The impact to a portfolio due to this purchase was 0.61%. The holding were 54,721 shares as of .

Added: Vanguard Extended Duration Treasury ETF (EDV)

San Francisco Sentry Investment Group (ca) added to a holding in Vanguard Extended Duration Treasury ETF by 169.78%. The purchase prices were between $113.33 and $127.18, with an estimated average price of $119.62. The stock is now traded at around $137.99. The impact to a portfolio due to this purchase was 0.51%. The holding were 13,427 shares as of .

Sold Out: Square Inc (SQ)

San Francisco Sentry Investment Group (ca) sold out a holding in Square Inc. The sale prices were between $60.62 and $77.05, with an estimated average price of $69.8.

Sold Out: SPDR S&P Homebuilders ETF (XHB)

San Francisco Sentry Investment Group (ca) sold out a holding in SPDR S&P Homebuilders ETF. The sale prices were between $38.36 and $41.68, with an estimated average price of $40.38.

Sold Out: Blackstone Group Inc (BX)

San Francisco Sentry Investment Group (ca) sold out a holding in Blackstone Group Inc. The sale prices were between $34.45 and $45.04, with an estimated average price of $39.87.

Sold Out: iShares Edge MSCI Min Volatility Emerging Markets (EEMV)

San Francisco Sentry Investment Group (ca) sold out a holding in iShares Edge MSCI Min Volatility Emerging Markets . The sale prices were between $55.37 and $59.37, with an estimated average price of $57.87.

Sold Out: iShares U.S. Utilities ETF (IDU)

San Francisco Sentry Investment Group (ca) sold out a holding in iShares U.S. Utilities ETF. The sale prices were between $143.24 and $154.17, with an estimated average price of $147.59.

Sold Out: UGI Corp (UGI)

San Francisco Sentry Investment Group (ca) sold out a holding in UGI Corp. The sale prices were between $51.21 and $55.39, with an estimated average price of $53.21.

Here is the complete portfolio of SAN FRANCISCO SENTRY INVESTMENT GROUP (CA). Also check out:

1. SAN FRANCISCO SENTRY INVESTMENT GROUP (CA)’s Undervalued Stocks

2. SAN FRANCISCO SENTRY INVESTMENT GROUP (CA)’s Top Growth Companies, and

3. SAN FRANCISCO SENTRY INVESTMENT GROUP (CA)’s High Yield stocks

4. Stocks that SAN FRANCISCO SENTRY INVESTMENT GROUP (CA) keeps buying

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Brookstone Capital Management Has $2.48 Million Holdings in iShares US Aerospace & Defense …

Millennium Management LLC acquired a new stake in iShares U.S. Aerospace & Defense ETF in the fourth quarter valued at $3,983,000. Finally …

iShares U.S. Aerospace & Defense ETF logoBrookstone Capital Management cut its stake in shares of iShares U.S. Aerospace & Defense ETF (BATS:ITA) by 10.4% in the 2nd quarter, according to its most recent Form 13F filing with the SEC. The institutional investor owned 11,579 shares of the company’s stock after selling 1,344 shares during the period. Brookstone Capital Management’s holdings in iShares U.S. Aerospace & Defense ETF were worth $2,480,000 as of its most recent SEC filing.

Several other large investors also recently made changes to their positions in ITA. Joseph P. Lucia & Associates LLC acquired a new position in shares of iShares U.S. Aerospace & Defense ETF during the first quarter worth $3,939,000. Wells Fargo & Company MN increased its holdings in iShares U.S. Aerospace & Defense ETF by 34.1% in the first quarter. Wells Fargo & Company MN now owns 469,023 shares of the company’s stock valued at $93,607,000 after purchasing an additional 119,306 shares during the period. MinichMacGregor Wealth Management LLC acquired a new stake in iShares U.S. Aerospace & Defense ETF in the first quarter valued at $6,946,000. Millennium Management LLC acquired a new stake in iShares U.S. Aerospace & Defense ETF in the fourth quarter valued at $3,983,000. Finally, Advisory Services Network LLC increased its holdings in iShares U.S. Aerospace & Defense ETF by 221.7% in the first quarter. Advisory Services Network LLC now owns 29,055 shares of the company’s stock valued at $5,799,000 after purchasing an additional 20,024 shares during the period.

BATS ITA opened at $206.56 on Tuesday. iShares U.S. Aerospace & Defense ETF has a twelve month low of $145.00 and a twelve month high of $206.56. The firm has a fifty day moving average of $214.65.

About iShares U.S. Aerospace & Defense ETF

iShares U.S. Aerospace & Defense ETF, formerly iShares Dow Jones U.S. Aerospace & Defense Index Fund (the Fund), is an exchange-traded fund. The Fund seeks investment results that correspond generally to the price and yield performance of the Dow Jones U.S. Select Aerospace & Defense Index (the Index).

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Institutional Ownership by Quarter for iShares U.S. Aerospace & Defense ETF (BATS:ITA)

Receive News & Ratings for iShares U.S. Aerospace & Defense ETF Daily – Enter your email address below to receive a concise daily summary of the latest news and analysts’ ratings for iShares U.S. Aerospace & Defense ETF and related companies with MarketBeat.com’s FREE daily email newsletter.

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Clear Investment Research, Llc Buys iShares Core S&P 500 ETF, iShares Core 1-5 Year USD …

iShares iBoxx $ High Yield Corporate Bond ETF (HYG) – 97,751 shares, … Clear Investment Research, Llc initiated holding in Duke Energy Corp.

Investment company Clear Investment Research, Llc (Current Portfolio) buys iShares Core S&P 500 ETF, iShares Core 1-5 Year USD Bond ETF, BB&T Corp, Bank of America Corporation, AT&T Inc, sells iShares Core U.S. Aggregate Bond ETF, Vanguard REIT ETF, iShares S&P Small-Cap 600 Value ETF, Graphic Packaging Holding Co, iShares S&P Small-Cap 600 Growth ETF during the 3-months ended 2019Q2, according to the most recent filings of the investment company, Clear Investment Research, Llc. As of 2019Q2, Clear Investment Research, Llc owns 435 stocks with a total value of $54 million. These are the details of the buys and sells.

For the details of CLEAR INVESTMENT RESEARCH, LLC’s stock buys and sells,go to https://www.gurufocus.com/guru/clear+investment+research%2C+llc/current-portfolio/portfolioportfolio

These are the top 5 holdings of CLEAR INVESTMENT RESEARCH, LLC

  1. iShares iBoxx $ High Yield Corporate Bond ETF (HYG) – 97,751 shares, 15.65% of the total portfolio. Shares reduced by 0.01%
  2. iShares Core S&P Small-Cap ETF (IJR) – 71,367 shares, 10.26% of the total portfolio. Shares reduced by 15.74%
  3. iShares Core S&P Mid-Cap ETF (IJH) – 25,328 shares, 9.03% of the total portfolio. Shares reduced by 12.82%
  4. iShares TIPS Bond ETF (TIP) – 39,178 shares, 8.31% of the total portfolio. Shares reduced by 1.61%
  5. iShares Core MSCI Emerging Markets ETF (IEMG) – 85,180 shares, 8.05% of the total portfolio. Shares reduced by 19.29%

New Purchase: iShares Core 1-5 Year USD Bond ETF (ISTB)

Clear Investment Research, Llc initiated holding in iShares Core 1-5 Year USD Bond ETF. The purchase prices were between $49.17 and $50.2, with an estimated average price of $49.57. The stock is now traded at around $50.48. The impact to a portfolio due to this purchase was 0.74%. The holding were 8,039 shares as of .

New Purchase: Duke Energy Corp (DUK)

Clear Investment Research, Llc initiated holding in Duke Energy Corp. The purchase prices were between $85.53 and $91.12, with an estimated average price of $88.4. The stock is now traded at around $86.97. The impact to a portfolio due to this purchase was 0.03%. The holding were 183 shares as of .

New Purchase: iShares Edge MSCI Min Volatility USA ETF (USMV)

Clear Investment Research, Llc initiated holding in iShares Edge MSCI Min Volatility USA ETF. The purchase prices were between $58.77 and $62.47, with an estimated average price of $60.01. The stock is now traded at around $61.15. The impact to a portfolio due to this purchase was 0.02%. The holding were 173 shares as of .

New Purchase: Levi Strauss & Co (LEVI)

Clear Investment Research, Llc initiated holding in Levi Strauss & Co. The purchase prices were between $19.42 and $23.97, with an estimated average price of $22.03. The stock is now traded at around $18.64. The impact to a portfolio due to this purchase was 0.01%. The holding were 300 shares as of .

New Purchase: Steris PLC (STE)

Clear Investment Research, Llc initiated holding in Steris PLC. The purchase prices were between $120.49 and $148.88, with an estimated average price of $133.43. The stock is now traded at around $144.56. The impact to a portfolio due to this purchase was less than 0.01%. The holding were 5 shares as of .

New Purchase: Corteva Inc (CTVA)

Clear Investment Research, Llc initiated holding in Corteva Inc. The purchase prices were between $24.81 and $29.57, with an estimated average price of $27.28. The stock is now traded at around $29.90. The impact to a portfolio due to this purchase was less than 0.01%. The holding were 7 shares as of .

Added: iShares Core S&P 500 ETF (IVV)

Clear Investment Research, Llc added to a holding in iShares Core S&P 500 ETF by 38.32%. The purchase prices were between $274.69 and $296.02, with an estimated average price of $288.3. The stock is now traded at around $285.66. The impact to a portfolio due to this purchase was 2.05%. The holding were 13,688 shares as of .

Added: BB&T Corp (BBT)

Clear Investment Research, Llc added to a holding in BB&T Corp by 42857.14%. The purchase prices were between $46.75 and $51.3, with an estimated average price of $48.98. The stock is now traded at around $47.36. The impact to a portfolio due to this purchase was 0.27%. The holding were 3,007 shares as of .

Added: Bank of America Corporation (BAC)

Clear Investment Research, Llc added to a holding in Bank of America Corporation by 28.72%. The purchase prices were between $26.6 and $30.77, with an estimated average price of $28.85. The stock is now traded at around $28.06. The impact to a portfolio due to this purchase was 0.22%. The holding were 18,487 shares as of .

Added: AT&T Inc (T)

Clear Investment Research, Llc added to a holding in AT&T Inc by 3051.85%. The purchase prices were between $30.3 and $33.51, with an estimated average price of $31.77. The stock is now traded at around $33.49. The impact to a portfolio due to this purchase was 0.1%. The holding were 1,702 shares as of .

Added: Invesco FTSE RAFI Emerging Markets ETF (PXH)

Clear Investment Research, Llc added to a holding in Invesco FTSE RAFI Emerging Markets ETF by 37.77%. The purchase prices were between $20.2 and $22.18, with an estimated average price of $21.28. The stock is now traded at around $19.72. The impact to a portfolio due to this purchase was 0.05%. The holding were 4,173 shares as of .

Added: Southern Co (SO)

Clear Investment Research, Llc added to a holding in Southern Co by 3125.00%. The purchase prices were between $51.2 and $56.28, with an estimated average price of $53.53. The stock is now traded at around $55.92. The impact to a portfolio due to this purchase was 0.04%. The holding were 387 shares as of .

Sold Out: Schwab US Aggregate Bond ETF (SCHZ)

Clear Investment Research, Llc sold out a holding in Schwab US Aggregate Bond ETF. The sale prices were between $51.44 and $53, with an estimated average price of $52.

Sold Out: Bemis Co Inc (BMS)

Clear Investment Research, Llc sold out a holding in Bemis Co Inc. The sale prices were between $55.12 and $59.53, with an estimated average price of $57.03.

Sold Out: Cousins Properties Inc (CUZ)

Clear Investment Research, Llc sold out a holding in Cousins Properties Inc. The sale prices were between $35.88 and $39.28, with an estimated average price of $37.55.

Sold Out: Francescas Holdings Corp (FRAN)

Clear Investment Research, Llc sold out a holding in Francescas Holdings Corp. The sale prices were between $4.8 and $8.64, with an estimated average price of $6.88.

Sold Out: Micro Focus International PLC (MFGP)

Clear Investment Research, Llc sold out a holding in Micro Focus International PLC. The sale prices were between $22.46 and $32.61, with an estimated average price of $26.4.

Here is the complete portfolio of CLEAR INVESTMENT RESEARCH, LLC. Also check out:

1. CLEAR INVESTMENT RESEARCH, LLC’s Undervalued Stocks

2. CLEAR INVESTMENT RESEARCH, LLC’s Top Growth Companies, and

3. CLEAR INVESTMENT RESEARCH, LLC’s High Yield stocks

4. Stocks that CLEAR INVESTMENT RESEARCH, LLC keeps buying

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Brookstone Capital Management Buys 2031 Shares of iShares Russell 2000 Growth ETF …

Two Sigma Investments LP boosted its stake in shares of iShares Russell 2000 Growth ETF by 106.1% in the 4th quarter. Two Sigma Investments LP …

iShares Russell 2000 Growth ETF logoBrookstone Capital Management grew its holdings in iShares Russell 2000 Growth ETF (NYSEARCA:IWO) by 8.1% during the 2nd quarter, according to its most recent filing with the Securities and Exchange Commission. The fund owned 27,076 shares of the exchange traded fund’s stock after purchasing an additional 2,031 shares during the quarter. Brookstone Capital Management’s holdings in iShares Russell 2000 Growth ETF were worth $5,439,000 at the end of the most recent reporting period.

Several other hedge funds and other institutional investors have also modified their holdings of IWO. Two Sigma Investments LP boosted its stake in shares of iShares Russell 2000 Growth ETF by 106.1% in the 4th quarter. Two Sigma Investments LP now owns 4,121 shares of the exchange traded fund’s stock valued at $692,000 after purchasing an additional 2,121 shares during the last quarter. MetLife Investment Advisors LLC boosted its stake in shares of iShares Russell 2000 Growth ETF by 11.8% in the 4th quarter. MetLife Investment Advisors LLC now owns 3,694 shares of the exchange traded fund’s stock valued at $621,000 after purchasing an additional 390 shares during the last quarter. Macquarie Group Ltd. bought a new position in shares of iShares Russell 2000 Growth ETF in the 4th quarter valued at about $4,616,000. FMR LLC boosted its stake in shares of iShares Russell 2000 Growth ETF by 21.1% in the 4th quarter. FMR LLC now owns 571,141 shares of the exchange traded fund’s stock valued at $95,951,000 after purchasing an additional 99,519 shares during the last quarter. Finally, Deutsche Bank AG bought a new position in shares of iShares Russell 2000 Growth ETF in the 4th quarter valued at about $937,000.

Shares of NYSEARCA IWO opened at $199.17 on Monday. iShares Russell 2000 Growth ETF has a 1 year low of $156.03 and a 1 year high of $220.82. The company has a 50-day simple moving average of $201.08.

About iShares Russell 2000 Growth ETF

iShares Russell 2000 Growth ETF (the Fund) is an exchange-traded fund (ETF). The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Russell 2000 Growth Index (the Index). The Index measures the performance of the small-capitalization growth sector of the United States equity market.

Further Reading: What are the components of an earnings report?

Want to see what other hedge funds are holding IWO?Visit HoldingsChannel.com to get the latest 13F filings and insider trades for iShares Russell 2000 Growth ETF (NYSEARCA:IWO).

Institutional Ownership by Quarter for iShares Russell 2000 Growth ETF (NYSEARCA:IWO)

Receive News & Ratings for iShares Russell 2000 Growth ETF Daily – Enter your email address below to receive a concise daily summary of the latest news and analysts’ ratings for iShares Russell 2000 Growth ETF and related companies with MarketBeat.com’s FREE daily email newsletter.

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