Investments: McMill Wealth Management

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: McMill Wealth Management
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 (%)
91.616.795 $+2.041.917 $
+52,2 %
93.662.361 $-30.291.211 $
+366,3 %
91.085.498 $-11.133.222 $
+109,9 %
101.681.534 $+32.640.182 $
+111,7 %
SPDR SER TR8.916.660 $-14.555.711 $
-62,0 %
34.534.961 $+34.113.925 $
+8.102,4 %
34.202.298 $+32.528.598 $
+1.943,5 %
32.306.267 $+30.755.530 $
+1.983,3 %
McMill Wealth Management2.667.245 $-16.582.707 $
-86,1 %
19.249.952 $+869.490 $
+4,7 %
18.380.462 $-13.347.261 $
-42,1 %
31.727.723 $+2.494.451 $
+8,5 %
SPDR SERIES TRUST24.648.915 $+22.884.759 $
+1.230,5 %
Dimensional ETF Trust15.487.553 $+15.487.553 $
VANGUARD GROUP INC14.588.895 $+2.599.906 $
+21,7 %
11.988.989 $-128.332 $
-1,1 %
12.117.321 $+59.914 $
+0,5 %
12.057.407 $-1.550.137 $
-11,4 %
iSHARES TRUST8.606.645 $-383.423 $
-4,3 %
8.990.068 $+108.073 $
+1,2 %
8.881.995 $+625.317 $
+7,6 %
8.256.678 $+540.031 $
+7,0 %
BERKSHIRE HATHAWAY INCBRK-B5.276.887 $-258.257 $
-4,7 %
5.535.144 $-60.119 $
-1,1 %
5.595.263 $+157.150 $
+2,9 %
5.438.113 $-553.192 $
-9,2 %
NUCOR CORPNUE1.930.133 $-301.034 $
-13,5 %
2.231.167 $+313.322 $
+16,3 %
1.917.845 $-1.668.448 $
-46,5 %
3.586.293 $+249.969 $
+7,5 %
ISHARES TR1.817.209 $-7.099.451 $
-79,6 %
1.764.156 $-32.770.805 $
-94,9 %
1.673.700 $+1.259.477 $
+304,1 %
1.550.737 $+77.258 $
+5,2 %
Apple Inc.AAPL1.198.523 $-90.346 $
-7,0 %
1.288.869 $+80.047 $
+6,6 %
1.208.822 $+256.358 $
+26,9 %
952.464 $-83.102 $
-8,0 %
MICROSOFT CORPMSFT955.779 $-158.481 $
-14,2 %
1.114.260 $-79.097 $
-6,6 %
1.193.357 $+45.637 $
+4,0 %
1.147.720 $+298.212 $
+35,1 %
UNION PACIFIC CORPUNP1.026.525 $+47.810 $
+4,9 %
978.715 $-21.366 $
-2,1 %
1.000.081 $+25.240 $
+2,6 %
974.841 $-23.745 $
-2,4 %
CATERPILLAR INCCAT942.960 $+180.470 $
+23,7 %
762.490 $+127.403 $
+20,1 %
635.087 $+117.967 $
+22,8 %
517.120 $+78.816 $
+18,0 %
AMAZON COM INCAMZN833.705 $-46.412 $
-5,3 %
880.117 $+46.410 $
+5,6 %
833.707 $-585 $
-0,1 %
834.292 $+118.153 $
+16,5 %
Palantir Technologies Inc.PLTR587.607 $-125.171 $
-17,6 %
712.778 $-18.726 $
-2,6 %
731.504 $+111.303 $
+17,9 %
620.201 $+197.526 $
+46,7 %
MCDONALDS CORPMCD520.884 $+8.648 $
+1,7 %
512.236 $+2.916 $
+0,6 %
509.320 $+20.237 $
+4,1 %
489.083 $-34.137 $
-6,5 %
SSGA Active Trust447.988 $+447.988 $
EA SERIES TRUST421.036 $-33.781.262 $
-98,8 %
414.223 $-31.892.044 $
-98,7 %
Fidelity Wise Origin Bitcoin FundFBTC409.965 $+182.897 $
+80,5 %
227.068 $+18.309 $
+8,8 %
208.759 $-1.969 $
-0,9 %
LOCKHEED MARTIN CORPLMT408.568 $+81.607 $
+25,0 %
326.961 $-10.505 $
-3,1 %
337.466 $+25.482 $
+8,2 %
311.984 $+10.455 $
+3,5 %
RTX CorpRTX338.154 $+16.654 $
+5,2 %
321.500 $+28.171 $
+9,6 %
293.329 $+38.069 $
+14,9 %
255.260 $+23.720 $
+10,2 %
WELLS FARGO & COMPANY/MNWFC277.919 $-47.442 $
-14,6 %
325.361 $+32.745 $
+11,2 %
292.616 $+12.655 $
+4,5 %
279.961 $+30.204 $
+12,1 %
Tesla, Inc.TSLA237.002 $+2.635 $
+1,1 %
234.367 $+234.367 $
NVIDIA CORPNVDA220.446 $-92 $
-0,0 %
220.538 $+220.538 $
EXXON MOBIL CORPXOM205.458 $+205.458 $
RESOURCES MANAGEMENT CORP /CT/ /ADV205.116 $+205.116 $
FORD MOTOR COF178.628 $-24.456 $
-12,0 %
203.084 $+17.955 $
+9,7 %
185.129 $+18.498 $
+11,1 %
166.631 $+12.139 $
+7,9 %
NORTHROP GRUMMAN CORP /DE/NOC201.943 $+201.943 $
91.616.795 $+2.041.917 $
+52,2 %
93.662.361 $-30.291.211 $
+366,3 %
91.085.498 $-11.133.222 $
+109,9 %
101.681.534 $+32.640.182 $
+111,7 %
Erweitert ×