Investments: Consolidated Investment Group LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten).
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTicker2025/Q42025/Q32025/Q22025/Q1
Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)
748.435.802 $+21.491.857 $730.667.424 $+61.450.613 $669.216.811 $+85.866.469 $583.350.342 $+583.350.342 $
BANK OF AMERICA CORP /DE/BAC496.266.807 $+24.306 $496.242.501 $+32.832.389 $463.410.112 $+55.541.903 $407.868.209 $+407.868.209 $
MICRON TECHNOLOGY INCMU36.449.426 $+12.905.996 $23.543.430 $+6.201.046 $17.342.384 $+5.116.179 $12.226.205 $+12.226.205 $
ALPHA PRO TECH LTDAPT30.794.714 $+6.004.110 $24.790.604 $+6.798.039 $17.992.565 $+2.189.756 $15.802.809 $+15.802.809 $
NVIDIA CORPNVDA25.243.708 $-10.828 $25.254.536 $+3.869.800 $21.384.736 $+6.714.961 $14.669.775 $+14.669.775 $
Palo Alto Networks IncPANW14.558.063 $-2.908.868 $17.466.931 $-87.497 $17.554.428 $+2.916.587 $14.637.841 $+14.637.841 $
APPFOLIO INCAPPF17.334.337 $+1.098.619 $16.235.718 $+3.153.668 $13.082.050 $-1.081.403 $14.163.453 $+14.163.453 $
MICROSOFT CORPMSFT13.161.235 $-934.256 $14.095.491 $+558.975 $13.536.516 $+3.320.652 $10.215.864 $+10.215.864 $
AMAZON COM INCAMZN12.648.936 $+616.500 $12.032.436 $+9.864 $12.022.572 $+1.596.324 $10.426.248 $+10.426.248 $
NETFLIX INCNFLX8.531.223 $-579.370 $9.110.593 $-1.065.456 $10.176.049 $+2.343.729 $7.832.320 $+7.832.320 $
CITIGROUP INCC10.079.333 $+1.312.067 $8.767.266 $+1.414.856 $7.352.410 $+1.220.507 $6.131.903 $+6.131.903 $
GOLDMAN SACHS GROUP INCGS9.690.975 $+911.216 $8.779.759 $+976.815 $7.802.944 $+1.780.097 $6.022.847 $+6.022.847 $
MORGAN STANLEYMS8.737.139 $+913.923 $7.823.216 $+890.791 $6.932.425 $+1.190.511 $5.741.914 $+5.741.914 $
JPMORGAN CHASE & COJPM8.603.918 $+181.306 $8.422.612 $+681.435 $7.741.177 $+1.191.176 $6.550.001 $+6.550.001 $
MGM Resorts InternationalMGM7.536.207 $+377.947 $7.158.260 $+55.762 $7.102.498 $+981.008 $6.121.490 $+6.121.490 $
UNITEDHEALTH GROUP INCUNH5.529.343 $-254.432 $5.783.775 $+558.277 $5.225.498 $-1.714.189 $6.939.687 $+6.939.687 $
Eaton Corp plcETN5.218.786 $-913.300 $6.132.086 $+282.805 $5.849.281 $+1.395.346 $4.453.935 $+4.453.935 $
AbbVie Inc.ABBV5.903.039 $-78.797 $5.981.836 $+1.186.343 $4.795.493 $-617.456 $5.412.949 $+5.412.949 $
SPS COMMERCE INCSPSC5.944.650 $+612.600 $5.332.050 $+759.600 $4.572.450 $+250.350 $4.322.100 $+4.322.100 $
EQUINIX INCEQIX4.788.500 $-106.750 $4.895.250 $-76.438 $4.971.688 $-124.250 $5.095.938 $+5.095.938 $
CHEVRON CORPCVX4.230.902 $-79.948 $4.310.850 $+335.896 $3.974.954 $-669.016 $4.643.970 $+4.643.970 $
STRYKER CORPSYK4.607.772 $+722.540 $3.885.232 $-272.889 $4.158.121 $+506.348 $3.651.773 $+3.651.773 $
LINDE PLCLIN4.344.914 $-115.336 $4.460.250 $+54.650 $4.405.600 $+33.240 $4.372.360 $+4.372.360 $
Zoetis Inc.ZTS3.248.304 $-843.044 $4.091.348 $+1.385.325 $2.706.023 $+2.706.023 $
EQUITY RESIDENTIALEQR2.962.880 $+1.020.980 $1.941.900 $-82.800 $2.024.700 $+378.360 $1.646.340 $+1.646.340 $
CAMDEN PROPERTY TRUSTCPT2.520.832 $+609.470 $1.911.362 $+1.911.362 $
APi Group CorpAPG1.645.180 $+167.270 $1.477.910 $+1.477.910 $
STARBUCKS CORPSBUX1.102.983 $-5.108 $1.108.091 $-92.079 $1.200.170 $-84.613 $1.284.783 $+1.284.783 $
Walt Disney CoDIS475.175 $-39.467 $514.642 $+105.037 $409.605 $+409.605 $
748.435.802 $+21.491.857 $730.667.424 $+61.450.613 $669.216.811 $+85.866.469 $583.350.342 $+583.350.342 $
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