Investments: LAM GROUP, INC.

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: LAM GROUP, INC.
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 (%)
45.805.303 $-200.783 $
+11,6 %
45.266.329 $+5.706.798 $
+35,8 %
41.960.798 $+1.309.946 $
+19,2 %
37.669.313 $+6.566.851 $
+45,8 %
World Gold TrustGLDM12.918.669 $+1.056.934 $
+8,9 %
11.861.735 $+1.613.230 $
+15,7 %
10.248.505 $+1.738.440 $
+20,4 %
8.510.065 $+1.859.366 $
+28,0 %
iShares, Inc.5.437.824 $+359.217 $
+7,1 %
5.078.607 $+886.932 $
+21,2 %
4.191.675 $+758.727 $
+22,1 %
3.432.948 $+1.386.695 $
+67,8 %
INVESCO QQQ TRUST, SERIES 1QQQ4.314.421 $-277.546 $
-6,0 %
4.591.967 $+104.201 $
+2,3 %
4.487.766 $+364.257 $
+8,8 %
4.123.509 $+618.332 $
+17,6 %
VANGUARD WORLD FDS3.476.862 $+2.446.514 $
+237,4 %
3.775.043 $+2.647.276 $
+234,7 %
3.739.216 $+2.933.513 $
+364,1 %
3.461.057 $+2.550.579 $
+280,1 %
ISHARES INC3.711.746 $+1.769.033 $
+91,1 %
3.600.639 $+2.848.799 $
+378,9 %
3.531.005 $-208.211 $
-5,6 %
3.215.507 $+1.387.345 $
+75,9 %
Amphastar Pharmaceuticals, Inc.AMPH2.562.372 $-940.452 $
-26,8 %
3.502.824 $+17.004 $
+0,5 %
3.485.820 $+482.652 $
+16,1 %
3.003.168 $-788.724 $
-20,8 %
ISHARES TR1.942.713 $+1.942.713 $2.002.323 $-1.598.316 $
-44,4 %
1.980.664 $-1.480.393 $
-42,8 %
1.828.162 $+891.928 $
+95,3 %
BOEING COBA383.332 $-810.611 $
-67,9 %
1.193.943 $+7.094 $
+0,6 %
1.186.849 $+34.644 $
+3,0 %
1.152.205 $+214.180 $
+22,8 %
SPDR GOLD TRUSTGLD1.185.449 $+65.873 $
+5,9 %
1.119.576 $+117.151 $
+11,7 %
1.002.425 $+121.466 $
+13,8 %
880.959 $+79.930 $
+10,0 %
Avantis All Equity Markets1.143.463 $+723.746 $
+172,4 %
1.071.063 $+39.187 $
+3,8 %
1.031.876 $+9.644 $
+0,9 %
910.478 $+628.510 $
+222,9 %
VANGUARD WHITEHALL FDS1.030.348 $+835.837 $
+429,7 %
1.127.767 $+645.952 $
+134,1 %
1.022.232 $-2.508.773 $
-71,0 %
1.141.011 $+354.039 $
+45,0 %
GOOGLE INC1.138.664 $-4.799 $
-0,4 %
751.840 $-319.223 $
-29,8 %
388.960 $+136.431 $
+54,0 %
281.968 $-2.933.539 $
-91,2 %
Apple Inc.AAPL877.606 $-62.486 $
-6,6 %
940.092 $+59.581 $
+6,8 %
880.511 $+171.033 $
+24,1 %
709.478 $-64.645 $
-8,4 %
VANGUARD CHARLOTTE FDS419.717 $-320.791 $
-43,3 %
514.366 $-1.487.957 $
-74,3 %
805.703 $+416.743 $
+107,1 %
936.234 $+486.880 $
+108,4 %
BERKSHIRE HATHAWAY INCBRK-B824.703 $-65.490 $
-7,4 %
890.193 $-25.297 $
-2,8 %
915.490 $+15.358 $
+1,7 %
900.132 $-88.336 $
-8,9 %
VANGUARD TAX-MANAGED INTL FD740.508 $-2.736.354 $
-78,7 %
481.815 $-32.551 $
-6,3 %
461.414 $-1.519.250 $
-76,7 %
449.354 $+212.754 $
+89,9 %
iSHARES TRUST717.844 $+8.057 $
+1,1 %
709.787 $+7.415 $
+1,1 %
702.372 $+36.987 $
+5,6 %
665.385 $+83.768 $
+14,4 %
Meta Platforms, Inc.META548.101 $-84.265 $
-13,3 %
632.366 $-71.170 $
-10,1 %
703.536 $-3.554 $
-0,5 %
707.090 $+225.253 $
+46,7 %
AMAZON COM INCAMZN445.698 $-48.257 $
-9,8 %
493.955 $+24.075 $
+5,1 %
469.880 $+385 $
+0,1 %
469.495 $+59.675 $
+14,6 %
VANGUARD GROUP INC74.925 $-410.442 $
-84,6 %
485.367 $+254.724 $
+110,4 %
MICROSOFT CORPMSFT398.095 $-42.966 $
-9,7 %
441.061 $-31.309 $
-6,6 %
472.370 $+18.732 $
+4,1 %
453.638 $+106.402 $
+30,6 %
VANGUARD WELLINGTON FD194.511 $-3.580.532 $
-94,8 %
252.529 $-208.885 $
-45,3 %
236.600 $-904.411 $
-79,3 %
NETFLIX INCNFLX147.110 $-53.760 $
-26,8 %
200.870 $+200.870 $
AMGEN INCAMGN162.555 $+162.555 $
NRG ENERGY, INC.NRG147.440 $+147.440 $
NetApp, Inc.NTAP102.390 $+102.390 $
VISA INC.V90.672 $+90.672 $
NVIDIA CORPNVDA76.736 $+76.736 $
WELLS FARGO & COMPANY/MNWFC71.649 $+71.649 $
AbbVie Inc.ABBV63.645 $+63.645 $
INTERNATIONAL BUSINESS MACHINES CORPIBM48.963 $+48.963 $
Dimensional ETF Trust42.089 $+42.089 $
COSTCO WHOLESALE CORP /NEWCOST37.864 $+37.864 $
Tesla, Inc.TSLA37.175 $+37.175 $
Broadcom Inc.AVGO34.046 $+34.046 $
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSM33.795 $+33.795 $
VERIZON COMMUNICATIONS INCVZ27.761 $+27.761 $
CATERPILLAR INCCAT26.213 $+26.213 $
Walmart Inc.WMT22.743 $+22.743 $
ADVANCED MICRO DEVICES INCAMD20.343 $+20.343 $
RAYONIER INCRYN16.084 $+16.084 $
PFIZER INCPFE13.563 $+13.563 $
Fidelity Wise Origin Bitcoin FundFBTC12.378 $+12.378 $
Walt Disney CoDIS9.638 $+9.638 $
ROKU, INCROKU9.462 $+9.462 $
Block, Inc.XYZ9.448 $+9.448 $
ETSY INCETSY9.296 $+9.296 $
MCDONALDS CORPMCD8.391 $+8.391 $
SHOPIFY INC.SHOP5.931 $+5.931 $
Cable One, Inc.CABO4.561 $+4.561 $
BANK OF AMERICA CORP /DE/BAC4.193 $+4.193 $
HOME DEPOT, INC.HD3.947 $+3.947 $
Invesco Actively Managed Exchange-Traded Commodity Fund Trust3.724 $+3.724 $
CISCO SYSTEMS, INC.CSCO3.259 $+3.259 $
HERSHEY COHSY2.703 $+2.703 $
Vertiv Holdings CoVRT2.506 $+2.506 $
SPDR SERIES TRUST1.914 $-1.136.750 $
-99,8 %
Cypress Point Wealth Management, LLC1.017 $+1.017 $
Viatris IncVTRS797 $+797 $
Kyndryl Holdings, Inc.KD525 $+525 $
Alibaba Group Holding LtdBABA502 $+502 $
GameStop Corp.GME280 $+280 $
ASTRAZENECA PLCAZN197 $+197 $
AMERICAN REALTY INVESTORS INCARL155 $+155 $
Uber Technologies, IncUBER72 $+72 $
Link Motion Inc0 $-1.914 $
-100,0 %
45.805.303 $-200.783 $
+11,6 %
45.266.329 $+5.706.798 $
+35,8 %
41.960.798 $+1.309.946 $
+19,2 %
37.669.313 $+6.566.851 $
+45,8 %
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