Investments: Curtis Advisory Group, LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: Curtis Advisory Group, LLC
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTicker2026/Q12025/Q42025/Q32025/Q2
Investment ($)QoQ ($)QoQ (%)Investment ($)QoQ ($)QoQ (%)Investment ($)QoQ ($)QoQ (%)Investment ($)QoQ ($)QoQ (%)
385.583.179 $+4.763.977 $
+403,0 %
394.409.809 $+26.128.548 $
+604,0 %
367.396.076 $+44.529.782 $
+597,2 %
327.295.114 $+30.371.581 $
+982,2 %
SCHWAB STRATEGIC TR66.100.463 $+61.863.584 $
+1.460,1 %
70.659.072 $+70.240.685 $
+16.788,4 %
65.802.915 $+65.398.309 $
+16.163,5 %
63.289.369 $+63.071.818 $
+28.991,7 %
NVIDIA CORPNVDA50.691.998 $-1.729.259 $
-3,3 %
52.421.257 $+506.288 $
+1,0 %
51.914.969 $+14.324.872 $
+38,1 %
37.590.097 $+11.705.265 $
+45,2 %
ISHARES TR25.231.849 $+24.914.902 $
+7.860,9 %
28.874.953 $+24.420.160 $
+548,2 %
31.575.304 $+14.723.366 $
+87,4 %
29.144.392 $+20.192.010 $
+225,5 %
VANGUARD GROUP INC25.437.958 $+935.430 $
+3,8 %
24.502.528 $+1.446.455 $
+6,3 %
23.056.073 $+1.101.593 $
+5,0 %
21.954.480 $+2.658.901 $
+13,8 %
AMAZON COM INCAMZN23.749.445 $-84.336 $
-0,4 %
23.833.781 $+2.145.315 $
+9,9 %
21.688.466 $+6.622.516 $
+44,0 %
15.065.950 $+7.584.546 $
+101,4 %
SPDR SER TR17.553.531 $+17.334.085 $
+7.899,0 %
17.920.185 $+17.545.823 $
+4.686,9 %
21.816.672 $+20.712.358 $
+1.875,6 %
22.088.965 $+21.418.253 $
+3.193,4 %
VANGUARD WORLD FDS15.745.408 $+14.658.206 $
+1.348,3 %
16.975.902 $+15.841.089 $
+1.395,9 %
16.851.938 $+16.628.976 $
+7.458,2 %
14.982.232 $+14.307.747 $
+2.121,3 %
iSHARES TRUST16.484.255 $+2.539.760 $
+18,2 %
13.944.495 $-753.005 $
-5,1 %
14.697.500 $+3.449.861 $
+30,7 %
11.247.639 $-3.307.219 $
-22,7 %
INVESCO QQQ TRUST, SERIES 1QQQ9.444.396 $-4.873.941 $
-34,0 %
14.318.337 $+2.025.761 $
+16,5 %
12.292.576 $+964.860 $
+8,5 %
11.327.716 $+1.741.253 $
+18,2 %
J P MORGAN EXCHANGE-TRADED F14.005.685 $+13.348.169 $
+2.030,1 %
14.193.688 $-2.782.214 $
-16,4 %
13.547.832 $+4.108.727 $
+43,5 %
13.368.673 $+9.294.929 $
+228,2 %
INVESCO EXCHANGE TRADED FD T13.842.276 $+1.480.107 $
+12,0 %
12.016.246 $+11.755.258 $
+4.504,1 %
12.935.862 $-52.867.053 $
-80,3 %
11.944.927 $+11.678.051 $
+4.375,8 %
GLOBAL X FDS12.362.169 $+11.206.021 $
+969,3 %
13.729.700 $+1.713.454 $
+14,3 %
10.823.321 $+9.719.202 $
+880,3 %
12.260.393 $+315.466 $
+2,6 %
J P MORGAN EXCHANGE TRADED F9.958.197 $-3.771.503 $
-27,5 %
9.824.997 $-60.834.075 $
-86,1 %
9.439.105 $+8.739.719 $
+1.249,6 %
8.952.382 $-4.416.291 $
-33,0 %
Global X Funds6.668.256 $-595.467 $
-8,2 %
7.263.723 $+180.160 $
+2,5 %
7.083.563 $+817.718 $
+13,1 %
6.265.845 $+1.048.371 $
+20,1 %
SPDR DOW JONES INDUSTRIAL AVERAGE ETF TRUSTDIA5.964.961 $-233.911 $
-3,8 %
6.198.872 $+217.090 $
+3,6 %
5.981.782 $+33.007 $
+0,6 %
5.948.775 $-244.455 $
-3,9 %
BERKSHIRE HATHAWAY INCBRK-B5.863.491 $-289.448 $
-4,7 %
6.152.939 $-11.156 $
-0,2 %
6.164.095 $+348.942 $
+6,0 %
5.815.153 $+4.173 $
+0,1 %
Janus Detroit Street Trust6.119.351 $+316.510 $
+5,5 %
5.802.841 $+235.373 $
+4,2 %
5.567.468 $-38.935 $
-0,7 %
5.606.403 $+2.330.638 $
+71,1 %
COSTCO WHOLESALE CORP /NEWCOST5.098.732 $+1.188.020 $
+30,4 %
3.910.712 $+1.231.939 $
+46,0 %
2.678.773 $+269.259 $
+11,2 %
2.409.514 $+187.877 $
+8,5 %
MICROSOFT CORPMSFT4.063.670 $-695.794 $
-14,6 %
4.759.464 $+2.261.855 $
+90,6 %
2.497.609 $+388.740 $
+18,4 %
2.108.869 $+487.456 $
+30,1 %
Alphabet Inc.GOOGL4.505.136 $-118.707 $
-2,6 %
4.623.843 $+1.007.856 $
+27,9 %
3.615.987 $+1.125.077 $
+45,2 %
2.490.910 $+956.419 $
+62,3 %
PACER FDS TR4.236.879 $-9.768.806 $
-69,7 %
4.454.793 $-5.370.204 $
-54,7 %
4.388.904 $-9.158.928 $
-67,6 %
4.073.744 $-59.215.625 $
-93,6 %
Apple Inc.AAPL3.441.646 $-294.254 $
-7,9 %
3.735.900 $+208.001 $
+5,9 %
3.527.899 $+949.733 $
+36,8 %
2.578.166 $-205.123 $
-7,4 %
Broadcom Inc.AVGO2.837.588 $-311.230 $
-9,9 %
3.148.818 $+1.771.114 $
+128,6 %
1.377.704 $+688.579 $
+99,9 %
689.125 $+689.125 $
Meta Platforms, Inc.META2.645.529 $-406.727 $
-13,3 %
3.052.256 $+2.375.892 $
+351,3 %
676.364 $+18.726 $
+2,8 %
657.638 $+657.638 $
Capital Group Dividend Value ETF2.986.946 $+1.983.226 $
+197,6 %
1.003.720 $-1.053.901 $
-51,2 %
2.057.621 $+130.193 $
+6,8 %
1.927.428 $+251.065 $
+15,0 %
HOME DEPOT, INC.HD2.775.174 $+336.193 $
+13,8 %
2.438.981 $+882.646 $
+56,7 %
1.556.335 $+878.051 $
+129,5 %
678.284 $+277 $
+0,0 %
NETFLIX INCNFLX2.670.759 $+329.572 $
+14,1 %
2.341.187 $+1.606.249 $
+218,6 %
734.938 $-57.827 $
-7,3 %
792.765 $+792.765 $
JPMORGAN CHASE & COJPM2.500.360 $+212.598 $
+9,3 %
2.287.762 $+1.089.128 $
+90,9 %
1.198.634 $+96.976 $
+8,8 %
1.101.658 $+660.118 $
+149,5 %
EXXON MOBIL CORPXOM2.210.670 $+642.640 $
+41,0 %
1.568.030 $+1.568.030 $
CHEVRON CORPCVX1.874.514 $+493.679 $
+35,8 %
1.380.835 $+1.380.835 $
VISA INC.V1.852.731 $-2.525 $
-0,1 %
1.855.256 $+1.018.875 $
+121,8 %
836.381 $-33.492 $
-3,9 %
869.873 $+11.246 $
+1,3 %
AMGEN INCAMGN1.794.435 $+125.154 $
+7,5 %
1.669.281 $+1.669.281 $
FIDELITY MERRIMACK STR TR1.156.148 $+749.890 $
+184,6 %
1.161.129 $-11.774.733 $
-91,0 %
1.104.119 $+842.096 $
+321,4 %
1.104.314 $-11.156.079 $
-91,0 %
ORACLE CORPORCL1.015.059 $-134.910 $
-11,7 %
1.149.969 $+896.853 $
+354,3 %
253.116 $+49.790 $
+24,5 %
203.326 $+203.326 $
LOCKHEED MARTIN CORPLMT1.142.297 $+228.161 $
+25,0 %
914.136 $-29.371 $
-3,1 %
943.507 $+68.172 $
+7,8 %
875.335 $+455.428 $
+108,5 %
Walmart Inc.WMT1.135.298 $+273.542 $
+31,7 %
861.756 $+257.412 $
+42,6 %
604.344 $+30.962 $
+5,4 %
573.382 $+573.382 $
VANGUARD WHITEHALL FDS1.087.202 $+360.855 $
+49,7 %
1.134.813 $+417.158 $
+58,1 %
1.124.076 $+466.456 $
+70,9 %
1.063.147 $-13.919.085 $
-92,9 %
ASML HOLDING NVASML950.998 $+950.998 $
BlackRock Finance, Inc.398.489 $+33.950 $
+9,3 %
364.539 $+1.709 $
+0,5 %
362.830 $-438.774 $
-54,7 %
801.604 $+136.414 $
+20,5 %
FIRST TRUST PORTFOLIOS LP758.912 $-20.176 $
-2,6 %
779.088 $-18.299 $
-2,3 %
797.387 $+25.976 $
+3,4 %
771.411 $-149.943 $
-16,3 %
Merck & Co., Inc.MRK793.914 $+99.198 $
+14,3 %
694.716 $+140.778 $
+25,4 %
553.938 $+553.938 $
VANGUARD TAX-MANAGED INTL FD726.347 $+330.637 $
+83,6 %
717.655 $+310.403 $
+76,2 %
699.386 $-10.123.935 $
-93,5 %
674.485 $-309.351 $
-31,4 %
QUALCOMM INC/DEQCOM527.998 $-173.307 $
-24,7 %
701.305 $+19.229 $
+2,8 %
682.076 $+29.110 $
+4,5 %
652.966 $+23.165 $
+3,7 %
VANGUARD CHARLOTTE FDS657.516 $-24.574.333 $
-97,4 %
644.685 $-17.275.500 $
-96,4 %
657.620 $-21.159.052 $
-97,0 %
670.712 $+286.956 $
+74,8 %
Tesla, Inc.TSLA525.283 $-110.171 $
-17,3 %
635.454 $-17.395 $
-2,7 %
652.849 $+267.527 $
+69,4 %
385.322 $+62.668 $
+19,4 %
HONEYWELL INTERNATIONAL INCHON644.186 $+400.323 $
+164,2 %
243.863 $+243.863 $
Palantir Technologies Inc.PLTR438.840 $-94.410 $
-17,7 %
533.250 $+533.250 $
3M COMMM450.213 $-46.097 $
-9,3 %
496.310 $+15.252 $
+3,2 %
481.058 $+9.114 $
+1,9 %
471.944 $+471.944 $
COCA COLA COKO471.510 $+38.068 $
+8,8 %
433.442 $+22.258 $
+5,4 %
411.184 $-27.466 $
-6,3 %
438.650 $+438.650 $
abrdn Gold ETF TrustSGOL436.384 $+35.443 $
+8,8 %
400.941 $+41.675 $
+11,6 %
359.266 $+51.436 $
+16,7 %
307.830 $+25.733 $
+9,1 %
SELECT SECTOR SPDR TR219.446 $-65.881.017 $
-99,7 %
418.387 $-13.775.301 $
-97,1 %
433.139 $-31.142.165 $
-98,6 %
217.551 $-21.871.414 $
-99,0 %
VANGUARD SPECIALIZED FUNDS395.710 $-9.562.487 $
-96,0 %
407.252 $-237.433 $
-36,8 %
404.606 $-3.984.298 $
-90,8 %
383.756 $-679.391 $
-63,9 %
FIDELITY COVINGTON TRUST406.258 $-15.339.150 $
-97,4 %
374.362 $-786.767 $
-67,8 %
INVESCO EXCH TRADED FD TR II316.947 $-13.525.329 $
-97,7 %
260.988 $-28.613.965 $
-99,1 %
262.023 $-171.116 $
-39,5 %
266.876 $+65.738 $
+32,7 %
ISHARES INC222.962 $-901.114 $
-80,2 %
201.138 $-28.943.254 $
-99,3 %
SPDR SERIES TRUST209.766 $-7.649 $
-3,5 %
217.415 $+217.415 $
385.583.179 $+4.763.977 $
+403,0 %
394.409.809 $+26.128.548 $
+604,0 %
367.396.076 $+44.529.782 $
+597,2 %
327.295.114 $+30.371.581 $
+982,2 %
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