Investments: RKL Wealth Management LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten).
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTicker2025/Q42025/Q3
Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)
1.199.470.546 $+45.290.845 $1.154.396.507 $+1.154.396.507 $
BANK OF AMERICA CORP /DE/BAC925.205.750 $+27.277.615 $897.928.135 $+897.928.135 $
BlackRock, Inc.BLK57.158.468 $+2.268.534 $54.889.934 $+54.889.934 $
APPFOLIO INCAPPF34.157.571 $+2.336.932 $31.820.639 $+31.820.639 $
MICROSOFT CORPMSFT25.426.217 $-1.463.424 $26.889.641 $+26.889.641 $
ALPHA PRO TECH LTDAPT26.560.903 $+6.047.297 $20.513.606 $+20.513.606 $
NVIDIA CORPNVDA18.255.329 $-905.384 $19.160.713 $+19.160.713 $
AMAZON COM INCAMZN15.309.368 $+993.184 $14.316.184 $+14.316.184 $
Mastercard IncMA9.187.706 $+34.867 $9.152.839 $+9.152.839 $
JPMORGAN CHASE & COJPM8.084.103 $+416.071 $7.668.032 $+7.668.032 $
MICRON TECHNOLOGY INCMU7.045.736 $+2.820.351 $4.225.385 $+4.225.385 $
JOHNSON & JOHNSONJNJ5.844.284 $+777.590 $5.066.694 $+5.066.694 $
CHEVRON CORPCVX4.631.430 $+289.476 $4.341.954 $+4.341.954 $
BERKSHIRE HATHAWAY INCBRK-B4.181.546 $-3.765 $4.185.311 $+4.185.311 $
AbbVie Inc.ABBV4.055.185 $+253.250 $3.801.935 $+3.801.935 $
Walmart Inc.WMT3.500.373 $+532.516 $2.967.857 $+2.967.857 $
Trane Technologies plcTT3.255.658 $-93.017 $3.348.675 $+3.348.675 $
PROCTER & GAMBLE CoPG3.047.249 $+125.045 $2.922.204 $+2.922.204 $
ROPER TECHNOLOGIES INCROP2.610.119 $-337.903 $2.948.022 $+2.948.022 $
GENERAL DYNAMICS CORPGD2.867.415 $+253.128 $2.614.287 $+2.614.287 $
MCDONALDS CORPMCD2.686.996 $-36.352 $2.723.348 $+2.723.348 $
EXXON MOBIL CORPXOM2.527.866 $+111.173 $2.416.693 $+2.416.693 $
CATERPILLAR INCCAT2.506.335 $+414.457 $2.091.878 $+2.091.878 $
ELI LILLY & CoLLY2.447.250 $+457.122 $1.990.128 $+1.990.128 $
PEPSICO INCPEP2.330.490 $+320.825 $2.009.665 $+2.009.665 $
Duke Energy CORPDUK1.721.668 $+1.290.017 $431.651 $+431.651 $
MID PENN BANCORP INCMPB1.713.231 $+131.448 $1.581.783 $+1.581.783 $
HERSHEY COHSY1.346.501 $+35.755 $1.310.746 $+1.310.746 $
SPS COMMERCE INCSPSC1.297.916 $+85.052 $1.212.864 $+1.212.864 $
HEICO CORPHEI1.075.455 $-1.479 $1.076.934 $+1.076.934 $
COCA COLA COKO1.054.285 $+56.430 $997.855 $+997.855 $
AGNICO EAGLE MINES LTDAEM1.017.180 $+5.820 $1.011.360 $+1.011.360 $
Constellation Energy CorpCEG1.001.978 $+74.317 $927.661 $+927.661 $
NICOLET BANKSHARES INCNIC660.931 $-314.619 $975.550 $+975.550 $
AT&T INC.T855.108 $-99.534 $954.642 $+954.642 $
MORGAN STANLEYMS906.749 $+167.314 $739.435 $+739.435 $
UNITEDHEALTH GROUP INCUNH861.738 $-15.706 $877.444 $+877.444 $
NUCOR CORPNUE859.590 $+145.874 $713.716 $+713.716 $
Bank of New York Mellon CorpBK837.340 $+67.808 $769.532 $+769.532 $
ORACLE CORPORCL579.491 $-195.888 $775.379 $+775.379 $
PALATIN TECHNOLOGIES INCPTNT738.196 $+10.523 $727.673 $+727.673 $
PPL CorpPPL600.895 $-30.075 $630.970 $+630.970 $
Walt Disney CoDIS559.553 $-64.732 $624.285 $+624.285 $
GOLDMAN SACHS GROUP INCGS489.497 $-121.925 $611.422 $+611.422 $
RTX CorpRTX609.152 $+98.086 $511.066 $+511.066 $
EMERSON ELECTRIC COEMR556.893 $-36.535 $593.428 $+593.428 $
DEERE & CODE558.148 $+15.654 $542.494 $+542.494 $
CSX CORPCSX496.421 $+14.147 $482.274 $+482.274 $
LOCKHEED MARTIN CORPLMT475.066 $-18.963 $494.029 $+494.029 $
ACNB CORPACNB488.239 $+43.523 $444.716 $+444.716 $
FORD MOTOR COF441.019 $+34.690 $406.329 $+406.329 $
YORK WATER COYORW437.992 $-2.155 $440.147 $+440.147 $
3M COMMM377.356 $+26.184 $351.172 $+351.172 $
PFIZER INCPFE365.624 $-8.516 $374.140 $+374.140 $
HENRY SCHEIN INCHSIC362.860 $+44.218 $318.642 $+318.642 $
GSK plcGSK347.351 $+41.649 $305.702 $+305.702 $
GENERAL ELECTRIC COGE298.157 $-29.997 $328.154 $+328.154 $
CITIGROUP INCC327.433 $+32.474 $294.959 $+294.959 $
FIRSTENERGY CORPFE311.226 $-13.304 $324.530 $+324.530 $
AMERICAN EXPRESS COAXP314.640 $+39.101 $275.539 $+275.539 $
ADVANCED MICRO DEVICES INCAMD312.032 $+88.276 $223.756 $+223.756 $
VERIZON COMMUNICATIONS INCVZ208.523 $-58.871 $267.394 $+267.394 $
NETFLIX INCNFLX245.464 $-11.105 $256.569 $+256.569 $
LAM RESEARCH CORPLRCX237.770 $+237.770 $
ANALOG DEVICES INCADI220.328 $+220.328 $
AMGEN INCAMGN216.806 $+216.806 $
Accenture plcACN210.348 $+210.348 $
INTUITIVE SURGICAL INCISRG207.855 $+207.855 $
1.199.470.546 $+45.290.845 $1.154.396.507 $+1.154.396.507 $
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