Investments: St. Louis Trust Co

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. ($)
508.916.403 $+63.973.607 $444.942.796 $+444.942.796 $
BANK OF AMERICA CORP /DE/BAC433.608.458 $+36.584.288 $397.024.170 $+397.024.170 $
BlackRock, Inc.BLK8.661.208 $+231.996 $8.429.212 $+8.429.212 $
CVS HEALTH CorpCVS6.543.391 $+6.543.391 $
JPMORGAN CHASE & COJPM6.353.212 $+133.878 $6.219.334 $+6.219.334 $
EXXON MOBIL CORPXOM5.421.463 $+1.220.172 $4.201.291 $+4.201.291 $
NVIDIA CORPNVDA4.541.647 $+3.794.958 $746.689 $+746.689 $
BERKSHIRE HATHAWAY INCBRK-B3.774.000 $+3.000 $3.771.000 $+3.771.000 $
ELI LILLY & CoLLY2.379.341 $+1.789.542 $589.799 $+589.799 $
SBA COMMUNICATIONS CORPSBAC2.073.570 $+858 $2.072.712 $+2.072.712 $
Walmart Inc.WMT2.051.170 $+153.732 $1.897.438 $+1.897.438 $
BHP Group LtdBHP2.033.673 $+2.033.673 $
AbbVie Inc.ABBV1.891.330 $-25.246 $1.916.576 $+1.916.576 $
RTX CorpRTX1.861.326 $+163.094 $1.698.232 $+1.698.232 $
ASML HOLDING NVASML1.840.159 $+1.840.159 $
ALPHA PRO TECH LTDAPT1.652.312 $+369.398 $1.282.914 $+1.282.914 $
NEXTERA ENERGY INCNEE1.549.243 $+92.437 $1.456.806 $+1.456.806 $
SYNOPSYS INCSNPS1.448.616 $+1.448.616 $
PFIZER INCPFE1.331.428 $+1.331.428 $
NETFLIX INCNFLX1.278.887 $+1.278.887 $
INTUITIVE SURGICAL INCISRG1.175.197 $+1.175.197 $
COCA COLA COKO1.115.903 $+57.303 $1.058.600 $+1.058.600 $
EMERSON ELECTRIC COEMR1.065.241 $+12.361 $1.052.880 $+1.052.880 $
FAIR ISAAC CORPFICO1.065.091 $+1.065.091 $
NICOLET BANKSHARES INCNIC966.289 $-91.306 $1.057.595 $+1.057.595 $
PROCTER & GAMBLE CoPG861.149 $-62.134 $923.283 $+923.283 $
CATERPILLAR INCCAT900.927 $+582.191 $318.736 $+318.736 $
TransDigm Group INCTDG889.670 $+889.670 $
BOSTON SCIENTIFIC CORPBSX851.952 $+851.952 $
MICROSOFT CORPMSFT752.512 $-53.418 $805.930 $+805.930 $
PEPSICO INCPEP800.555 $+17.181 $783.374 $+783.374 $
JOHNSON & JOHNSONJNJ719.358 $+74.838 $644.520 $+644.520 $
CHEVRON CORPCVX679.597 $-12.841 $692.438 $+692.438 $
MICRON TECHNOLOGY INCMU655.301 $+271.134 $384.167 $+384.167 $
Duke Energy CORPDUK610.313 $-34.054 $644.367 $+644.367 $
COLGATE PALMOLIVE COCL586.249 $-6.826 $593.075 $+593.075 $
MCDONALDS CORPMCD550.134 $+3.132 $547.002 $+547.002 $
VERIZON COMMUNICATIONS INCVZ407.341 $-80.460 $487.801 $+487.801 $
ORACLE CORPORCL336.610 $-149.091 $485.701 $+485.701 $
GOLDMAN SACHS GROUP INCGS460.596 $+43.309 $417.287 $+417.287 $
TARGET CORPTGT391.000 $+32.200 $358.800 $+358.800 $
Mastercard IncMA353.374 $+1.280 $352.094 $+352.094 $
SOUTHERN COSO305.200 $-26.495 $331.695 $+331.695 $
AMAZON COM INCAMZN283.447 $+13.815 $269.632 $+269.632 $
Otis Worldwide CorpOTIS262.050 $-12.240 $274.290 $+274.290 $
APPFOLIO INCAPPF255.277 $+16.179 $239.098 $+239.098 $
GENERAL ELECTRIC COGE242.112 $+5.667 $236.445 $+236.445 $
Walt Disney CoDIS225.378 $-1.447 $226.825 $+226.825 $
METLIFE INCMET216.453 $-9.406 $225.859 $+225.859 $
STRYKER CORPSYK214.045 $-11.084 $225.129 $+225.129 $
AMGEN INCAMGN212.424 $+212.424 $
SUN LIFE FINANCIAL INCSLF211.224 $+211.224 $
508.916.403 $+63.973.607 $444.942.796 $+444.942.796 $
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