Investments: Canton Hathaway, 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. ($)
485.932.031 $+3.597.910 $484.433.000 $+483.977.076 $456.801 $-6.637 $464.340 $+464.340 $
BERKSHIRE HATHAWAY INCBRK-B236.633.585 $-1.831.415 $238.465.000 $+238.229.989 $235.011 $-25.501 $260.512 $+260.512 $
BANK OF AMERICA CORP /DE/BAC144.306.269 $+84.269 $144.222.000 $+144.088.019 $133.981 $+9.230 $124.751 $+124.751 $
ALPHA PRO TECH LTDAPT16.136.358 $+3.607.358 $12.529.000 $+12.519.891 $9.109 $+262 $8.847 $+8.847 $
MICROSOFT CORPMSFT11.731.207 $-837.793 $12.569.000 $+12.556.940 $12.060 $+2.962 $9.098 $+9.098 $
SPS COMMERCE INCSPSC12.477.902 $+1.399.902 $11.078.000 $+11.066.458 $11.542 $+521 $11.021 $+11.021 $
AMAZON COM INCAMZN7.443.959 $+413.959 $7.030.000 $+7.022.982 $7.018 $+588 $6.430 $+6.430 $
APPFOLIO INCAPPF6.961.712 $+437.712 $6.524.000 $+6.518.595 $5.405 $-694 $6.099 $+6.099 $
Bloom Energy CorpBE6.312.125 $+47.125 $6.265.000 $+6.264.424 $576 $+102 $474 $+474 $
NVIDIA CORPNVDA6.070.402 $+12.402 $6.058.000 $+6.052.874 $5.126 $+1.624 $3.502 $+3.502 $
JPMORGAN CHASE & COJPM6.070.303 $+128.303 $5.942.000 $+5.936.538 $5.462 $+841 $4.621 $+4.621 $
ELI LILLY & CoLLY2.301.037 $+679.037 $1.622.000 $+1.620.349 $1.651 $-71 $1.722 $+1.722 $
ADVANCED MICRO DEVICES INCAMD2.068.571 $+428.571 $1.640.000 $+1.638.555 $1.445 $+399 $1.046 $+1.046 $
Eaton Corp plcETN1.675.363 $-293.637 $1.969.000 $+1.967.108 $1.892 $+451 $1.441 $+1.441 $
FASTENAL COFAST1.250.050 $-277.950 $1.528.000 $+1.526.692 $1.308 $+100 $1.208 $+1.208 $
NEXTERA ENERGY INCNEE1.490.238 $+89.238 $1.401.000 $+1.399.711 $1.289 $-27 $1.316 $+1.316 $
JOHNSON & JOHNSONJNJ1.464.171 $+150.171 $1.314.000 $+1.312.917 $1.083 $-90 $1.173 $+1.173 $
Aon plcAON1.235.080 $-12.920 $1.248.000 $+1.246.751 $1.249 $-148 $1.397 $+1.397 $
MORGAN STANLEYMS1.193.889 $+124.889 $1.069.000 $+1.068.053 $947 $+162 $785 $+785 $
Amrize LtdAMRZ1.155.960 $+274.960 $881.000 $+881.000 $
MARSHALL WACE, LLP1.134.340 $+144.340 $990.000 $+989.025 $975 $+152 $823 $+823 $
NETFLIX INCNFLX916.035 $-194.965 $1.111.000 $+1.109.493 $1.507 $+644 $863 $+863 $
ORACLE CORPORCL698.752 $-309.248 $1.008.000 $+1.007.216 $784 $+283 $501 $+501 $
NVR INCNVR1.004.000 $+1.003.077 $923 $+17 $906 $+906 $
RESMED INCRMD770.784 $-105.216 $876.000 $+875.174 $826 $+110 $716 $+716 $
CENTRUS ENERGY CORPLEU701.576 $-134.424 $836.000 $+835.375 $625 $+393 $232 $+232 $
RTX CorpRTX784.585 $+68.585 $716.000 $+715.375 $625 $+58 $567 $+567 $
iShares Bitcoin Trust ETFIBIT496.500 $-280.500 $777.000 $+776.137 $863 $+395 $468 $+468 $
CMS ENERGY CORPCMS699.300 $-33.700 $733.000 $+732.307 $693 $-58 $751 $+751 $
FORD MOTOR COF730.635 $+64.635 $666.000 $+665.396 $604 $+45 $559 $+559 $
GOLDMAN SACHS GROUP INCGS681.225 $+64.225 $617.000 $+616.451 $549 $+126 $423 $+423 $
LINDE PLCLIN665.000 $+664.343 $657 $+5 $652 $+652 $
Trane Technologies plcTT553.832 $-47.168 $601.000 $+600.377 $623 $+144 $479 $+479 $
ARES CAPITAL CORPARCC599.617 $+11.617 $588.000 $+587.363 $637 $-582 $1.219 $+1.219 $
PEPSICO INCPEP582.835 $+12.835 $570.000 $+569.464 $536 $-73 $609 $+609 $
WESBANCO INCWSBC523.929 $+20.929 $503.000 $+502.501 $499 $+11 $488 $+488 $
Boston Common Asset Management, LLC504.957 $+85.957 $419.000 $+418.607 $393 $+50 $343 $+343 $
Palo Alto Networks IncPANW442.080 $-46.920 $489.000 $+488.509 $491 $+12 $479 $+479 $
Veralto CorpVLTO26.541 $-460.459 $487.000 $+486.539 $461 $+16 $445 $+445 $
ASML HOLDING NVASML481.437 $+45.437 $436.000 $+435.639 $361 $+63 $298 $+298 $
CHEVRON CORPCVX447.628 $-10.372 $458.000 $+457.719 $281 $+206 $75 $+75 $
CAMECO CORPCCJ457.450 $+38.450 $419.000 $+418.629 $371 $+206 $165 $+165 $
BARCLAYS BANK PLCATMP103.233 $-284.767 $388.000 $+388.000 $
EQT CorpEQT372.520 $+100.520 $272.000 $+271.708 $292 $+78 $214 $+214 $
AbbVie Inc.ABBV337.251 $-7.749 $345.000 $+344.723 $277 $-32 $309 $+309 $
3M COMMM328.205 $+10.205 $318.000 $+317.688 $312 $+11 $301 $+301 $
Vertiv Holdings CoVRT324.020 $+22.020 $302.000 $+301.743 $257 $+257 $
Grayscale Bitcoin Mini Trust ETFBTC210.691 $-64.309 $275.000 $+274.740 $260 $+61 $199 $+199 $
FLUOR CORPFLR273.447 $+273.447 $
COCA COLA COKO235.597 $+8.597 $227.000 $+226.757 $243 $+2 $241 $+241 $
LOCKHEED MARTIN CORPLMT217.652 $-7.348 $225.000 $+224.792 $208 $+7 $201 $+201 $
Walmart Inc.WMT224.603 $+16.603 $208.000 $+207.803 $197 $+20 $177 $+177 $
FISERV INCFISV105.457 $-96.543 $202.000 $+201.730 $270 $-77 $347 $+347 $
MVB FINANCIAL CORPMVBF195.636 $+5.636 $190.000 $+189.829 $171 $+40 $131 $+131 $
PROCTER & GAMBLE CoPG174.982 $-13.018 $188.000 $+187.805 $195 $-13 $208 $+208 $
CAMDEN PROPERTY TRUSTCPT26.419 $-159.581 $186.000 $+185.804 $196 $-17 $213 $+213 $
EXXON MOBIL CORPXOM185.925 $+76.925 $109.000 $+108.896 $104 $-11 $115 $+115 $
LKQ CORPLKQ183.000 $+182.778 $222 $-33 $255 $+255 $
COMCAST CORPCMCSA153.276 $-7.724 $161.000 $+160.817 $183 $-6 $189 $+189 $
VAIL RESORTS INCMTN129.480 $-16.520 $146.000 $+145.847 $153 $+17 $136 $+136 $
CATERPILLAR INCCAT124.313 $+20.313 $104.000 $+103.916 $84 $+12 $72 $+72 $
CITIGROUP INCC123.000 $+122.944 $56 $+56 $
UNITEDHEALTH GROUP INCUNH108.936 $-5.064 $114.000 $+113.913 $87 $-33 $120 $+120 $
SMITHBRIDGE ASSET MANAGEMENT INC/DE60.639 $-35.361 $96.000 $+95.955 $45 $-16 $61 $+61 $
PFIZER INCPFE93.475 $+2.475 $91.000 $+90.914 $86 $+8 $78 $+78 $
BlackRock, Inc.BLK89.872 $-2.128 $92.000 $+91.911 $89 $+1 $88 $+88 $
StoneX Group Inc.SNEX85.644 $+85.644 $
Canton Hathaway, LLC84.000 $+83.928 $72 $+72 $
VERIZON COMMUNICATIONS INCVZ72.133 $-7.867 $80.000 $+79.921 $79 $-1 $80 $+80 $
Walt Disney CoDIS77.932 $-68 $78.000 $+77.915 $85 $+17 $68 $+68 $
PAYCHEX INCPAYX65.737 $-8.263 $74.000 $+73.915 $85 $-5 $90 $+90 $
AMGEN INCAMGN70.372 $+9.372 $61.000 $+60.940 $60 $-7 $67 $+67 $
GENERAL DYNAMICS CORPGD67.332 $-668 $68.000 $+67.942 $58 $+3 $55 $+55 $
Nu Holdings Ltd.NU67.178 $+67.178 $
SOUTHERN COSO61.476 $-5.524 $67.000 $+66.935 $65 $+0 $65 $+65 $
Parker-Hannifin CorpPH60.648 $+8.648 $52.000 $+51.952 $48 $+6 $42 $+42 $
PALATIN TECHNOLOGIES INCPTNT35.906 $-19.094 $55.000 $+54.951 $49 $+19 $30 $+30 $
Booking Holdings Inc.BKNG53.553 $-447 $54.000 $+53.942 $58 $+12 $46 $+46 $
INTUITIVE SURGICAL INCISRG50.972 $+10.972 $40.000 $+39.951 $49 $+4 $45 $+45 $
MCDONALDS CORPMCD50.429 $+429 $50.000 $+49.952 $48 $-160 $208 $+208 $
BOEING COBA49.938 $-62 $50.000 $+49.952 $48 $+9 $39 $+39 $
AMERICAN EXPRESS COAXP48.094 $+5.094 $43.000 $+42.959 $41 $+6 $35 $+35 $
INTEL CORPINTC43.727 $+3.727 $40.000 $+39.973 $27 $+0 $27 $+27 $
STRYKER CORPSYK40.420 $-2.580 $43.000 $+42.955 $45 $+2 $43 $+43 $
UNITED PARCEL SERVICE INCUPS42.156 $+6.156 $36.000 $+35.957 $43 $-4 $47 $+47 $
Duke Energy CORPDUK38.797 $-2.203 $41.000 $+40.961 $39 $-1 $40 $+40 $
CVS HEALTH CorpCVS40.246 $+2.246 $38.000 $+37.968 $32 $+1 $31 $+31 $
EMERSON ELECTRIC COEMR38.091 $+91 $38.000 $+37.962 $38 $+7 $31 $+31 $
Medtronic plcMDT36.983 $-1.017 $38.000 $+37.965 $35 $+4 $31 $+31 $
ANALOG DEVICES INCADI37.154 $+3.154 $34.000 $+33.967 $33 $+5 $28 $+28 $
HUMANA INCHUM34.321 $-679 $35.000 $+34.967 $33 $-2 $35 $+35 $
CONOCOPHILLIPSCOP34.261 $-739 $35.000 $+34.967 $33 $-5 $38 $+38 $
MCKESSON CORPMCK32.812 $+1.812 $31.000 $+30.971 $29 $+2 $27 $+27 $
Accenture plcACN32.196 $+2.196 $30.000 $+29.964 $36 $-1 $37 $+37 $
NICOLET BANKSHARES INCNIC29.498 $-2.502 $32.000 $+31.967 $33 $+4 $29 $+29 $
PRICE T ROWE GROUP INCTROW30.714 $+30.613 $101 $+5 $96 $+96 $
ASSOCIATED BANC-CORPASB30.325 $+2.325 $28.000 $+27.969 $31 $+0 $31 $+31 $
HF Sinclair CorpDINO25.805 $-3.195 $29.000 $+28.977 $23 $+23 $
BOSTON SCIENTIFIC CORPBSX25.268 $-732 $26.000 $+25.972 $28 $+1 $27 $+27 $
AMEREN CORPAEE24.965 $-1.035 $26.000 $+25.976 $24 $-1 $25 $+25 $
COLGATE PALMOLIVE COCL22.758 $-242 $23.000 $+22.974 $26 $-1 $27 $+27 $
FIRSTENERGY CORPFE22.385 $-615 $23.000 $+22.980 $20 $+0 $20 $+20 $
TETRA TECH INCTTEK21.633 $-367 $22.000 $+21.977 $23 $+23 $
NATIONAL GRID PLCNGG21.271 $+21.251 $20 $+20 $
STARBUCKS CORPSBUX21.053 $+53 $21.000 $+20.977 $23 $-2 $25 $+25 $
NOVARTIS AGNVS20.000 $+20.000 $
ENBRIDGE INCENB20.000 $+20.000 $
NOKIA CORPNOK677 $-12 $689 $+689 $
TYLER TECHNOLOGIES INCTYL422 $+422 $
CHART INDUSTRIES INCGTLS375 $+375 $
VersaBankVBNK51 $+51 $
Moelis & CoMC51 $+51 $
BANK OF HAWAII34 $+34 $
CHIPOTLE MEXICAN GRILL INCCMG28 $+3 $25 $+25 $
NBC SECURITIES, INC.20 $+20 $
485.932.031 $+3.597.910 $484.433.000 $+483.977.076 $456.801 $-6.637 $464.340 $+464.340 $
Erweiterte Einstellungen ×