Investments: OV Management LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten).
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTicker2025/Q42025/Q32025/Q22025/Q1
Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)Investment ($)QoQ Veränd. ($)
115.459.869 $-1.835.914 $117.915.158 $+271.774 $119.355.730 $-88.028.545 $213.693.458 $+213.693.458 $
BANK OF AMERICA CORP /DE/BAC75.512.424 $-2.382.902 $77.895.326 $-6.503.394 $84.398.720 $-45.079.682 $129.478.402 $+129.478.402 $
MICROSOFT CORPMSFT5.385.109 $-454.259 $5.839.368 $+407.651 $5.431.717 $-5.331.090 $10.762.807 $+10.762.807 $
APPFOLIO INCAPPF4.743.413 $+172.295 $4.571.118 $+917.245 $3.653.873 $-6.531.232 $10.185.105 $+10.185.105 $
NVIDIA CORPNVDA6.427.163 $-102.764 $6.529.927 $+987.638 $5.542.289 $-4.597.202 $10.139.491 $+10.139.491 $
AMAZON COM INCAMZN3.160.849 $+107.948 $3.052.901 $+352.429 $2.700.472 $-3.545.003 $6.245.475 $+6.245.475 $
ALPHA PRO TECH LTDAPT4.693.122 $+991.438 $3.701.684 $+1.140.005 $2.561.679 $-3.432.941 $5.994.620 $+5.994.620 $
CHIPOTLE MEXICAN GRILL INCCMG4.343.165 $+4.343.165 $
Mastercard IncMA999.040 $-10.598 $1.009.638 $-48.495 $1.058.133 $-1.693.978 $2.752.111 $+2.752.111 $
JOHNSON & JOHNSONJNJ1.353.246 $+140.785 $1.212.461 $+216.989 $995.472 $-1.729.445 $2.724.917 $+2.724.917 $
MCDONALDS CORPMCD1.050.145 $+5.979 $1.044.166 $+45.237 $998.929 $-1.694.013 $2.692.942 $+2.692.942 $
HERSHEY COHSY1.136.283 $-31.657 $1.167.940 $+133.076 $1.034.864 $-1.654.070 $2.688.934 $+2.688.934 $
ALLSTATE CORPALL1.067.393 $-33.332 $1.100.725 $+68.407 $1.032.318 $-1.638.885 $2.671.203 $+2.671.203 $
DEERE & CODE989.336 $+17.658 $971.678 $-114.965 $1.086.643 $-1.438.929 $2.525.572 $+2.525.572 $
STARBUCKS CORPSBUX989.512 $-1.517.865 $2.507.377 $+2.507.377 $
UNITEDHEALTH GROUP INCUNH722.834 $-1.773.882 $2.496.716 $+2.496.716 $
Medtronic plcMDT1.068.571 $+9.121 $1.059.450 $+92.212 $967.238 $-1.511.730 $2.478.968 $+2.478.968 $
Zoetis Inc.ZTS785.620 $-128.002 $913.622 $-56.231 $969.853 $-1.434.860 $2.404.713 $+2.404.713 $
UNITED PARCEL SERVICE INCUPS619.375 $-127.682 $747.057 $-1.305.576 $2.052.633 $+2.052.633 $
PRICE T ROWE GROUP INCTROW1.966.018 $+1.966.018 $
DELTA AIR LINES, INC.DAL1.135.315 $+36.692 $1.098.623 $+153.187 $945.436 $-763.684 $1.709.120 $+1.709.120 $
ADVANCED MICRO DEVICES INCAMD1.192.229 $+277.630 $914.599 $+120.243 $794.356 $-739.449 $1.533.805 $+1.533.805 $
MORGAN STANLEYMS1.186.966 $-177.865 $1.364.831 $+163.013 $1.201.818 $+1.201.818 $
NETFLIX INCNFLX600.345 $-178.953 $779.298 $+116.429 $662.869 $-569.003 $1.231.872 $+1.231.872 $
Palo Alto Networks IncPANW595.887 $-72.394 $668.281 $+158.932 $509.349 $-623.018 $1.132.367 $+1.132.367 $
ROLLINS INCROL1.127.596 $+24.048 $1.103.548 $+1.103.548 $
PROCTER & GAMBLE CoPG937.247 $-67.624 $1.004.871 $+1.004.871 $
Accenture plcACN312.570 $+20.842 $291.728 $-58.571 $350.299 $-624.826 $975.125 $+975.125 $
115.459.869 $-1.835.914 $117.915.158 $+271.774 $119.355.730 $-88.028.545 $213.693.458 $+213.693.458 $
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