Investments: HALL CAPITAL MANAGEMENT CO INC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten).
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTicker2025/Q42025/Q3
Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)
217.488.577 $+1.522.218 $216.387.538 $+216.387.538 $
BANK OF AMERICA CORP /DE/BAC90.452.946 $-1.693.720 $92.146.666 $+92.146.666 $
MICROSOFT CORPMSFT17.892.525 $-1.296.007 $19.188.532 $+19.188.532 $
BlackRock, Inc.BLK16.107.929 $+1.475.864 $14.632.065 $+14.632.065 $
APPFOLIO INCAPPF11.238.525 $+651.688 $10.586.837 $+10.586.837 $
JPMORGAN CHASE & COJPM9.496.146 $+140.177 $9.355.969 $+9.355.969 $
ALPHA PRO TECH LTDAPT8.902.005 $+1.828.675 $7.073.330 $+7.073.330 $
Walmart Inc.WMT6.714.625 $+421.112 $6.293.513 $+6.293.513 $
JOHNSON & JOHNSONJNJ6.035.904 $+635.176 $5.400.728 $+5.400.728 $
ORACLE CORPORCL3.048.782 $-1.306.219 $4.355.001 $+4.355.001 $
PEPSICO INCPEP3.845.905 $+8.663 $3.837.242 $+3.837.242 $
AMAZON COM INCAMZN3.763.982 $+174.452 $3.589.530 $+3.589.530 $
AbbVie Inc.ABBV3.643.045 $-75.256 $3.718.301 $+3.718.301 $
MCDONALDS CORPMCD3.662.976 $+41.519 $3.621.457 $+3.621.457 $
LOCKHEED MARTIN CORPLMT2.837.208 $-214.962 $3.052.170 $+3.052.170 $
BERKSHIRE HATHAWAY INCBRK-B2.998.127 $-4.829 $3.002.956 $+3.002.956 $
Duke Energy CORPDUK2.752.208 $-196.012 $2.948.220 $+2.948.220 $
AMERICAN EXPRESS COAXP2.522.689 $+285.259 $2.237.430 $+2.237.430 $
NEXTERA ENERGY INCNEE2.284.287 $+140.597 $2.143.690 $+2.143.690 $
PROCTER & GAMBLE CoPG1.853.858 $-354.861 $2.208.719 $+2.208.719 $
INTUITIVE SURGICAL INCISRG2.041.728 $+384.294 $1.657.434 $+1.657.434 $
BOSTON SCIENTIFIC CORPBSX1.957.249 $-52.269 $2.009.518 $+2.009.518 $
EMERSON ELECTRIC COEMR1.961.336 $-25.254 $1.986.590 $+1.986.590 $
NVIDIA CORPNVDA1.662.088 $-40.081 $1.702.169 $+1.702.169 $
COCA COLA COKO1.560.391 $+49.356 $1.511.035 $+1.511.035 $
PRICE T ROWE GROUP INCTROW1.070.281 $-18.729 $1.089.010 $+1.089.010 $
PAYCHEX INCPAYX756.766 $-140.822 $897.588 $+897.588 $
STRYKER CORPSYK679.743 $-27.436 $707.179 $+707.179 $
Walt Disney CoDIS488.870 $-5.427 $494.297 $+494.297 $
YUM BRANDS INCYUM451.571 $-2.149 $453.720 $+453.720 $
SOUTHERN COSO381.762 $-33.899 $415.661 $+415.661 $
Medtronic plcMDT396.344 $-14.426 $410.770 $+410.770 $
CAMECO CORPCCJ362.300 $+30.214 $332.086 $+332.086 $
HERSHEY COHSY341.213 $-9.506 $350.719 $+350.719 $
3M COMMM346.136 $+2.878 $343.258 $+343.258 $
CATERPILLAR INCCAT340.858 $+56.954 $283.904 $+283.904 $
DARDEN RESTAURANTS INCDRI259.652 $-74.620 $334.272 $+334.272 $
GENERAL ELECTRIC COGE333.288 $+22.842 $310.446 $+310.446 $
STARBUCKS CORPSBUX320.419 $-5.122 $325.541 $+325.541 $
COLGATE PALMOLIVE COCL264.322 $-15.068 $279.390 $+279.390 $
Palo Alto Networks IncPANW277.405 $+277.405 $
NOVARTIS AGNVS273.672 $+22.322 $251.350 $+251.350 $
MORGAN STANLEYMS235.405 $+24.624 $210.781 $+210.781 $
ELI LILLY & CoLLY234.280 $+234.280 $
GOLDMAN SACHS GROUP INCGS219.750 $+219.750 $
Mastercard IncMA218.076 $+791 $217.285 $+217.285 $
PFIZER INCPFE211.943 $+211.943 $
PALATIN TECHNOLOGIES INCPTNT209.236 $+209.236 $
217.488.577 $+1.522.218 $216.387.538 $+216.387.538 $
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