Investments: Pacific Park Financial, Inc.

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: Pacific Park Financial, Inc.
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTicker2026/Q12025/Q4
Investment ($)QoQ ($)QoQ (%)Investment ($)QoQ ($)QoQ (%)
92.460.304 $-347.947 $
+59,4 %
90.093.454 $+39.371.562 $
+338,8 %
SCHWAB STRATEGIC TR22.100.787 $+17.532.098 $
+383,7 %
22.089.683 $+16.967.930 $
+331,3 %
iSHARES TRUST15.259.051 $+197.384 $
+1,3 %
15.061.667 $+15.061.667 $
INNOVATOR ETFS TRUST6.297.895 $-141.504 $
-2,2 %
6.698.302 $+6.217.948 $
+1.294,5 %
ISHARES GOLD TRUSTIAU6.541.340 $+420.513 $
+6,9 %
6.120.827 $+6.120.827 $
ISHARES TR6.439.399 $+5.148.682 $
+398,9 %
5.211.978 $+4.981.580 $
+2.162,2 %
VANGUARD GROUP INC5.790.915 $+127.878 $
+2,3 %
5.663.037 $+5.663.037 $
PACER FDS TR4.568.689 $-1.729.206 $
-27,5 %
5.121.753 $+3.281.888 $
+178,4 %
SPDR SER TR3.870.807 $+3.437.952 $
+794,3 %
4.121.547 $+3.504.492 $
+567,9 %
Invesco Ltd.IVZ3.721.549 $+1.937.386 $
+108,6 %
1.784.163 $+1.784.163 $
VANGUARD TAX-MANAGED INTL FD3.702.799 $+679.779 $
+22,5 %
3.655.807 $+798.140 $
+27,9 %
VANGUARD STAR FDS3.023.020 $+2.433.718 $
+413,0 %
2.857.667 $+2.268.317 $
+384,9 %
J P MORGAN EXCHANGE-TRADED F1.290.717 $-2.365.090 $
-64,7 %
1.839.865 $-3.372.113 $
-64,7 %
Brookstone Capital Management1.231.982 $-64.982 $
-5,0 %
1.296.964 $+1.296.964 $
Janus Detroit Street Trust1.280.959 $+418.722 $
+48,6 %
862.237 $+862.237 $
ELI LILLY & CoLLY827.793 $-139.419 $
-14,4 %
967.212 $+967.212 $
INVESCO QQQ TRUST, SERIES 1QQQ561.596 $-164.518 $
-22,7 %
726.114 $+726.114 $
SELECT SECTOR SPDR TR432.855 $-21.667.932 $
-98,0 %
617.055 $-21.472.628 $
-97,2 %
VANGUARD CHARLOTTE FDS602.739 $-3.268.068 $
-84,4 %
400.041 $-3.721.506 $
-90,3 %
VANGUARD MUN BD FDS589.302 $+71.622 $
+13,8 %
589.350 $+189.309 $
+47,3 %
Apple Inc.AAPL524.330 $-49.295 $
-8,6 %
573.625 $+573.625 $
abrdn Gold ETF TrustSGOL535.797 $+67.485 $
+14,4 %
468.312 $+468.312 $
GLOBAL X FDS517.680 $-85.059 $
-14,1 %
480.354 $+221.807 $
+85,8 %
HOME DEPOT, INC.HD475.904 $-22.009 $
-4,4 %
497.913 $+497.913 $
iShares, Inc.436.799 $+3.481 $
+0,8 %
433.318 $+433.318 $
MICROSOFT CORPMSFT382.006 $+382.006 $
BLACKLINE, INC.BL248.862 $-123.019 $
-33,1 %
371.881 $+371.881 $
AbbVie Inc.ABBV254.898 $-25.916 $
-9,2 %
280.814 $+280.814 $
MICRON TECHNOLOGY INCMU270.272 $+41.944 $
+18,4 %
228.328 $+228.328 $
VANGUARD WORLD FDS229.550 $-3.473.249 $
-93,8 %
258.547 $+258.547 $
COSTCO WHOLESALE CORP /NEWCOST235.157 $+29.058 $
+14,1 %
206.099 $+206.099 $
INVESCO EXCH TRD SLF IDX FD230.398 $+25.046 $
+12,2 %
Invesco Actively Managed Exchange-Traded Commodity Fund Trust214.855 $+41.611 $
+24,0 %
173.244 $+173.244 $
INVESCO EXCHANGE TRADED FD T205.352 $-6.492.950 $
-96,9 %
92.460.304 $-347.947 $
+59,4 %
90.093.454 $+39.371.562 $
+338,8 %
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