Investments: Jordan Park Group LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: Jordan Park 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 (%)
1.681.549.690 $-170.147.559 $
+115,0 %
1.511.493.734 $+71.081.770 $
+123,0 %
1.511.048.516 $+93.761.083 $
+108,5 %
1.358.332.499 $+99.029.810 $
+344,1 %
iSHARES TRUST370.149.790 $-116.483.308 $
-23,9 %
486.633.098 $-27.618.683 $
-5,4 %
514.251.781 $-26.509.874 $
-4,9 %
540.761.655 $+44.920.329 $
+9,1 %
ISHARES INC504.284.797 $+400.065.470 $
+383,9 %
468.253.728 $+446.503.791 $
+2.052,9 %
466.210.150 $+450.479.948 $
+2.863,8 %
411.949.585 $+406.594.488 $
+7.592,7 %
SELECT SECTOR SPDR TR200.898.885 $+193.427.070 $
+2.588,8 %
VANGUARD SCOTTSDALE FUNDS120.309.857 $+4.111.744 $
+3,5 %
116.198.113 $+11.157.490 $
+10,6 %
105.040.623 $+80.795.945 $
+333,3 %
24.244.678 $+24.244.678 $
ISHARES TR111.353.257 $+84.015.168 $
+307,3 %
104.219.327 $+96.704.862 $
+1.286,9 %
100.983.985 $-365.226.165 $
-78,3 %
79.097.787 $+63.658.970 $
+412,3 %
VANGUARD GROUP INC51.291.601 $-4.096.831 $
-7,4 %
55.388.432 $-4.750.895 $
-7,9 %
60.139.327 $-6.317.440 $
-9,5 %
66.456.767 $-1.169.745 $
-1,7 %
BlackRock, Inc.BLK65.802.545 $+21.890.990 $
+49,9 %
43.911.555 $+6.103.907 $
+16,1 %
37.807.648 $+4.858.613 $
+14,7 %
32.949.035 $+5.694.328 $
+20,9 %
BlackRock Fund Advisors59.290.193 $+2.812.471 $
+5,0 %
56.477.722 $+2.935.203 $
+5,5 %
53.542.519 $+10.224.212 $
+23,6 %
43.318.307 $+4.633.141 $
+12,0 %
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSM43.918.630 $+4.426.301 $
+11,2 %
39.492.329 $+5.818.613 $
+17,3 %
33.673.716 $+6.366.043 $
+23,3 %
27.307.673 $+12.444.531 $
+83,7 %
VANGUARD MUN BD FDS35.085.292 $+15.577.298 $
+79,9 %
29.315.550 $+21.679.749 $
+283,9 %
20.821.229 $+32.110 $
+0,2 %
23.555.924 $+14.515.869 $
+160,6 %
VANGUARD TAX-MANAGED INTL FD27.338.089 $-476.946.708 $
-94,6 %
27.181.719 $+17.348.981 $
+176,4 %
26.488.017 $+5.666.788 $
+27,2 %
26.840.670 $+25.789.127 $
+2.452,5 %
SPDR SER TR19.507.994 $-181.390.891 $
-90,3 %
21.749.937 $-7.565.613 $
-25,8 %
20.789.119 $-80.194.866 $
-79,4 %
15.438.817 $-8.117.107 $
-34,5 %
INVESCO EXCHANGE TRADED FD T9.851.126 $+2.569.243 $
+35,3 %
9.832.738 $-16.655.279 $
-62,9 %
15.730.202 $+8.387.894 $
+114,2 %
15.257.943 $-63.839.844 $
-80,7 %
Nu Holdings Ltd.NU12.278.030 $-2.024.978 $
-14,2 %
14.303.008 $+623.728 $
+4,6 %
13.679.280 $+1.956.624 $
+16,7 %
11.722.656 $+2.973.385 $
+34,0 %
BlackRock Finance, Inc.13.064.946 $+9.475.605 $
+264,0 %
3.589.341 $-110.759 $
-3,0 %
3.700.100 $+259.587 $
+7,5 %
3.440.513 $+455.330 $
+15,3 %
NVIDIA CORPNVDA7.268.818 $-504.316 $
-6,5 %
7.773.134 $-2.802.034 $
-26,5 %
10.575.168 $+1.620.453 $
+18,1 %
8.954.715 $+2.595.085 $
+40,8 %
VANGUARD SPECIALIZED FUNDS7.471.815 $-103.881.442 $
-93,3 %
7.635.801 $-19.545.918 $
-71,9 %
9.510.282 $+2.893.084 $
+43,7 %
9.040.055 $-17.800.615 $
-66,3 %
GLOBAL X FDS7.281.883 $-27.803.409 $
-79,2 %
7.514.465 $-460.739.263 $
-98,4 %
7.342.308 $-2.167.974 $
-22,8 %
6.617.198 $-8.640.745 $
-56,6 %
Core Scientific, Inc./txCORZ5.830.630 $+5.830.630 $
Apple Inc.AAPL1.776.530 $-126.490 $
-6,6 %
1.903.020 $+120.610 $
+6,8 %
1.782.410 $+346.220 $
+24,1 %
1.436.190 $-118.720 $
-7,6 %
SPDR SERIES TRUST1.482.826 $-272.162 $
-15,5 %
1.754.988 $+1.754.988 $
Meta Platforms, Inc.META1.300.451 $-199.934 $
-13,3 %
1.500.385 $-168.861 $
-10,1 %
1.669.246 $-8.433 $
-0,5 %
1.677.679 $+367.613 $
+28,1 %
General Motors CoGM1.353.740 $-123.926 $
-8,4 %
1.477.666 $+369.780 $
+33,4 %
1.107.886 $+213.691 $
+23,9 %
894.195 $+39.613 $
+4,6 %
TRINET GROUP, INC.TNET728.600 $-454.000 $
-38,4 %
1.182.600 $-155.200 $
-11,6 %
1.337.800 $-125.000 $
-8,5 %
1.462.800 $-122.000 $
-7,7 %
VANGUARD WORLD FDS1.051.543 $-410.898.042 $
-99,7 %
BANK OF AMERICA CORP /DE/BAC926.250 $-118.750 $
-11,4 %
1.045.000 $+64.790 $
+6,6 %
980.210 $+81.130 $
+9,0 %
899.080 $+106.210 $
+13,4 %
APPLIED MATERIALS INC /DEAMAT991.191 $+245.920 $
+33,0 %
745.271 $+151.525 $
+25,5 %
593.746 $+62.843 $
+11,8 %
530.903 $+110.055 $
+26,2 %
AMAZON COM INCAMZN923.280 $+45.000 $
+5,1 %
878.280 $+720 $
+0,1 %
877.560 $+116.520 $
+15,3 %
CISCO SYSTEMS, INC.CSCO526.834 $-7.392 $
-1,4 %
534.226 $+59.059 $
+12,4 %
ORACLE CORPORCL343.821 $-152.286 $
-30,7 %
496.107 $+110.444 $
+28,6 %
385.663 $+139.038 $
+56,4 %
VISA INC.V211.568 $-177.720 $
-45,7 %
389.288 $+10.356 $
+2,7 %
378.932 $-15.174 $
-3,9 %
394.106 $+5.095 $
+1,3 %
Palo Alto Networks IncPANW267.458 $-28.198 $
-9,5 %
295.656 $-1.481 $
-0,5 %
297.137 $+49.368 $
+19,9 %
IRON MOUNTAIN INCIRM286.298 $+53.789 $
+23,1 %
232.509 $-53.229 $
-18,6 %
285.738 $-1.766 $
-0,6 %
287.504 $+46.334 $
+19,2 %
DANAHER CORP /DE/DHR214.058 $-44.393 $
-17,2 %
258.451 $+34.615 $
+15,5 %
223.836 $+813 $
+0,4 %
223.023 $-8.422 $
-3,6 %
TARGET CORPTGT206.310 $-20.585 $
-9,1 %
226.895 $-13.133 $
-5,5 %
ADOBE INC.ADBE200.017 $+200.017 $
Momentus Inc.MNTS71 $+71 $
1.681.549.690 $-170.147.559 $
+115,0 %
1.511.493.734 $+71.081.770 $
+123,0 %
1.511.048.516 $+93.761.083 $
+108,5 %
1.358.332.499 $+99.029.810 $
+344,1 %
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