Investments: New Perspectives, Inc

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten).
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTicker2025/Q42025/Q32025/Q22025/Q1
Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)
211.054.945 $+8.327.910 $203.008.275 $+5.862.081 $196.724.189 $+15.031.449 $182.347.290 $+182.347.290 $
BANK OF AMERICA CORP /DE/BAC201.283.157 $+8.051.425 $193.231.732 $+4.646.431 $188.585.301 $+15.131.697 $173.453.604 $+173.453.604 $
APPFOLIO INCAPPF3.017.554 $+191.251 $2.826.303 $+548.992 $2.277.311 $-493.674 $2.770.985 $+2.770.985 $
BERKSHIRE HATHAWAY INCBRK-B1.509.600 $+1.200 $1.508.400 $+50.800 $1.457.600 $-139.283 $1.596.883 $+1.596.883 $
SHERWIN WILLIAMS COSHW1.085.501 $-161.035 $1.246.536 $+10.440 $1.236.096 $-20.988 $1.257.084 $+1.257.084 $
ELI LILLY & CoLLY1.089.726 $+252.715 $837.011 $-18.133 $855.144 $-50.879 $906.023 $+906.023 $
MICROSOFT CORPMSFT735.796 $-51.784 $787.580 $+31.607 $755.973 $+185.745 $570.228 $+570.228 $
JPMORGAN CHASE & COJPM548.869 $+11.614 $537.255 $+43.509 $493.746 $+103.002 $390.744 $+390.744 $
NVIDIA CORPNVDA408.062 $-175 $408.237 $+62.555 $345.682 $+108.547 $237.135 $+237.135 $
CHEVRON CORPCVX350.437 $-6.277 $356.714 $+356.714 $
AMGEN INCAMGN301.125 $+41.501 $259.624 $+2.751 $256.873 $-29.753 $286.626 $+286.626 $
ORACLE CORPORCL281.240 $+62.610 $218.630 $+218.630 $
REGIONS FINANCIAL CORPRF278.642 $+7.506 $271.136 $+29.303 $241.833 $+18.405 $223.428 $+223.428 $
AbbVie Inc.ABBV236.884 $-2.293 $239.177 $+24.636 $214.541 $+214.541 $
UNITEDHEALTH GROUP INCUNH232.545 $+232.545 $
ALLIANT ENERGY CORPLNT209.592 $-7.738 $217.330 $+9.866 $207.464 $+207.464 $
211.054.945 $+8.327.910 $203.008.275 $+5.862.081 $196.724.189 $+15.031.449 $182.347.290 $+182.347.290 $
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