Investments: Elite Life Management LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: Elite Life Management 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 (%)
63.962.168 $+4.586.527 $
+7,6 %
59.353.502 $+14.019.881 $
+31,7 %
48.256.017 $+6.401.129 $
+9,5 %
38.183.076 $+4.411.771 $
+17,3 %
SCHWAB STRATEGIC TR14.417.880 $+2.806.506 $
+24,2 %
12.997.572 $+2.082.958 $
+19,1 %
13.098.483 $+5.184.411 $
+65,5 %
9.723.746 $+2.269.768 $
+30,5 %
VANGUARD TAX-MANAGED INTL FD11.611.374 $-1.386.198 $
-10,7 %
10.914.614 $+1.298.632 $
+13,5 %
9.615.982 $-3.482.501 $
-26,6 %
7.914.072 $-1.809.674 $
-18,6 %
Dimensional ETF Trust6.606.653 $+431.411 $
+7,0 %
6.175.242 $+652.779 $
+11,8 %
5.522.463 $+1.939.450 $
+54,1 %
3.583.013 $+733.268 $
+25,7 %
VANGUARD GROUP INC3.949.372 $-384.439 $
-8,9 %
4.333.811 $-470.612 $
-9,8 %
4.804.423 $+640.794 $
+15,4 %
4.163.629 $+92.786 $
+2,3 %
NVIDIA CORPNVDA3.728.151 $+514.603 $
+16,0 %
3.213.548 $+682.240 $
+27,0 %
2.531.308 $+421.333 $
+20,0 %
2.109.975 $+538.669 $
+34,3 %
Alphabet Inc.GOOGL2.779.284 $+588.300 $
+26,9 %
2.190.984 $+807.977 $
+58,4 %
1.383.007 $+442.432 $
+47,0 %
940.575 $+302.375 $
+47,4 %
Apple Inc.AAPL2.387.430 $+132.076 $
+5,9 %
2.255.354 $+642.801 $
+39,9 %
1.612.553 $+338.036 $
+26,5 %
1.274.517 $-26.055 $
-2,0 %
MICROSOFT CORPMSFT1.729.450 $+57.464 $
+3,4 %
1.671.986 $-135.845 $
-7,5 %
1.807.831 $+105.153 $
+6,2 %
1.702.678 $+530.302 $
+45,2 %
AMAZON COM INCAMZN1.521.827 $+456.977 $
+42,9 %
1.064.850 $+290.307 $
+37,5 %
774.543 $-25.573 $
-3,2 %
800.116 $+228.384 $
+39,9 %
Meta Platforms, Inc.META1.190.607 $-3.328 $
-0,3 %
1.193.935 $+375.928 $
+46,0 %
818.007 $+6.108 $
+0,8 %
811.899 $+213.060 $
+35,6 %
Broadcom Inc.AVGO1.038.474 $+284.734 $
+37,8 %
753.740 $+320.199 $
+73,9 %
433.541 $+105.517 $
+32,2 %
328.024 $+328.024 $
JPMORGAN CHASE & COJPM812.951 $-36.251 $
-4,3 %
849.202 $+333.629 $
+64,7 %
515.573 $+40.532 $
+8,5 %
475.041 $+88.553 $
+22,9 %
COSTCO WHOLESALE CORP /NEWCOST783.830 $+42.972 $
+5,8 %
740.858 $+221.343 $
+42,6 %
519.515 $-18.023 $
-3,4 %
537.538 $+32.491 $
+6,4 %
Tesla, Inc.TSLA747.471 $+30.495 $
+4,3 %
716.976 $-38.009 $
-5,0 %
754.985 $+255.941 $
+51,3 %
499.044 $+265.281 $
+113,5 %
VISA INC.V672.599 $-22.618 $
-3,3 %
695.217 $+207.265 $
+42,5 %
487.952 $-8.197 $
-1,7 %
496.149 $-1.254 $
-0,3 %
ELI LILLY & CoLLY564.807 $-87.530 $
-13,4 %
652.337 $+387.466 $
+146,3 %
264.871 $-30.114 $
-10,2 %
294.985 $+60.949 $
+26,0 %
Walmart Inc.WMT555.110 $+4.548 $
+0,8 %
550.562 $+334.356 $
+154,6 %
216.206 $+216.206 $
BlackRock Fund Advisors231.963 $+3.910 $
+1,7 %
228.053 $+19.191 $
+9,2 %
208.862 $-282.335 $
-57,5 %
491.197 $+46.072 $
+10,4 %
ORACLE CORPORCL461.658 $+140.599 $
+43,8 %
321.059 $-65.753 $
-17,0 %
386.812 $+117.459 $
+43,6 %
269.353 $+269.353 $
Cencora, Inc.COR331.049 $-118.373 $
-26,3 %
449.422 $+449.422 $
Invesco Exchange-Traded Self-Indexed Fund Trust438.551 $+85.615 $
+24,3 %
352.936 $+49.154 $
+16,2 %
303.782 $-524 $
-0,2 %
304.306 $-129.473 $
-29,8 %
ADVANCED MICRO DEVICES INCAMD416.044 $+200.827 $
+93,3 %
215.217 $+215.217 $
GE Vernova Inc.GEV405.659 $+106.389 $
+35,5 %
299.270 $+299.270 $
GENERAL ELECTRIC COGE344.694 $-39.864 $
-10,4 %
384.558 $+384.558 $
Arista Networks, Inc.ANET375.123 $+6.100 $
+1,7 %
369.023 $+369.023 $
LINDE PLCLIN367.404 $+47.361 $
+14,8 %
320.043 $+320.043 $
BlackRock, Inc.BLK352.570 $+16.641 $
+5,0 %
335.929 $+335.929 $
BERKSHIRE HATHAWAY INCBRK-B303.174 $-36.738 $
-10,8 %
339.912 $+47.538 $
+16,3 %
292.374 $+39.287 $
+15,5 %
253.087 $-27.051 $
-9,7 %
Parker-Hannifin CorpPH294.408 $-29.787 $
-9,2 %
324.195 $+324.195 $
MCDONALDS CORPMCD262.238 $-55.434 $
-17,5 %
317.672 $+317.672 $
CrowdStrike Holdings, Inc.CRWD315.606 $+102.431 $
+48,1 %
213.175 $+213.175 $
NEXTERA ENERGY INCNEE308.227 $+16.620 $
+5,7 %
291.607 $+291.607 $
Eaton Corp plcETN299.526 $+23.647 $
+8,6 %
275.879 $+275.879 $
PROCTER & GAMBLE CoPG250.990 $-15.066 $
-5,7 %
266.056 $+5.889 $
+2,3 %
260.167 $-36.001 $
-12,2 %
296.168 $-34.640 $
-10,5 %
GENERAL DYNAMICS CORPGD273.759 $-8.176 $
-2,9 %
281.935 $+281.935 $
CHEVRON CORPCVX281.329 $+12.028 $
+4,5 %
269.301 $+58.781 $
+27,9 %
210.520 $-12.813 $
-5,7 %
Uber Technologies, IncUBER275.543 $+4.801 $
+1,8 %
270.742 $+270.742 $
MICRON TECHNOLOGY INCMU273.332 $+273.332 $
HOME DEPOT, INC.HD233.401 $-18.217 $
-7,2 %
251.618 $+12.935 $
+5,4 %
238.683 $+12.192 $
+5,4 %
SPDR DOW JONES INDUSTRIAL AVERAGE ETF TRUSTDIA248.065 $-2.450 $
-1,0 %
250.515 $+19.160 $
+8,3 %
231.355 $+11.030 $
+5,0 %
220.325 $-26.565 $
-10,8 %
WELLTOWER INC.WELL249.185 $+28.187 $
+12,8 %
220.998 $+220.998 $
Booking Holdings Inc.BKNG245.144 $+245.144 $
RTX CorpRTX215.534 $-24.249 $
-10,1 %
239.783 $+239.783 $
AMPHENOL CORP /DE/APH222.644 $-13.306 $
-5,6 %
235.950 $+25.193 $
+12,0 %
210.757 $+210.757 $
AbbVie Inc.ABBV232.387 $+232.387 $
UNITEDHEALTH GROUP INCUNH219.940 $-70.742 $
-24,3 %
TJX COMPANIES INC /DE/TJX219.151 $+3.441 $
+1,6 %
215.710 $+215.710 $
NETFLIX INCNFLX216.940 $+216.940 $
Mastercard IncMA202.156 $-11.853 $
-5,5 %
214.009 $+214.009 $
Vistra Corp.VST213.591 $+11.447 $
+5,7 %
202.144 $+202.144 $
EXXON MOBIL CORPXOM206.881 $+206.881 $
Shell plcSHEL206.650 $+206.650 $
S&P Global Inc.SPGI206.279 $+1.135 $
+0,6 %
205.144 $+205.144 $
BANK OF AMERICA CORP /DE/BAC204.412 $+204.412 $
Quantum-Si IncQSI54.207 $+54.207 $
Senseonics Holdings, Inc.SENS35.572 $-300 $
-0,8 %
35.872 $+35.872 $
63.962.168 $+4.586.527 $
+7,6 %
59.353.502 $+14.019.881 $
+31,7 %
48.256.017 $+6.401.129 $
+9,5 %
38.183.076 $+4.411.771 $
+17,3 %
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