Investments: Smith & Howard Wealth Management, LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: Smith & Howard Wealth Management, LLC
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds. Breite = Veränderung der Halter-Breite (distinct Fonds) über das Fenster — ▲ steigend / ▼ fallend (Interesse = Flow, nicht Kurs). GCS = aktuelles Conviction-Band der Aktie.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTickerBreiteGCS2026/Q22026/Q12025/Q42025/Q3
Investment ($)QoQ ($)QoQ (%)Anz. FondsInvestment ($)QoQ ($)QoQ (%)Anz. FondsInvestment ($)QoQ ($)QoQ (%)Anz. FondsInvestment ($)QoQ ($)QoQ (%)Anz. Fonds
289.529.748 $+49.458.639 $
+36,3 %
50269.747.501 $+12.597.563 $
+47,7 %
48257.667.470 $+6.446.853 $
+17,8 %
45246.202.649 $-5.140.778 $
+50,4 %
45
VANGUARD GROUP INC→ 088.147.441 $+3.659.427 $
+4,3 %
184.488.014 $+4.840.663 $
+6,1 %
179.647.351 $+6.201.331 $
+8,4 %
173.446.020 $+5.741.721 $
+8,5 %
1
BlackRock Fund Advisors→ 040.722.323 $+3.229.507 $
+8,6 %
137.492.816 $+771.079 $
+2,1 %
136.721.737 $+1.250.458 $
+3,5 %
135.471.279 $+2.092.747 $
+6,3 %
1
ISHARES TR→ 038.813.425 $+20.449.382 $
+111,4 %
135.046.430 $+32.620.823 $
+1.344,9 %
133.345.291 $+29.734.808 $
+823,6 %
132.384.880 $+30.131.143 $
+1.336,9 %
1
J.P. Morgan Exchange-Traded Fund Trust→ 021.933.210 $-508.651 $
-2,3 %
122.441.861 $+1.085.411 $
+5,1 %
121.356.450 $+1.012.397 $
+5,0 %
120.344.053 $+190.163 $
+0,9 %
1
VANGUARD TAX-MANAGED FDS→ 018.364.043 $+14.131.690 $
+333,9 %
116.677.586 $-18.368.844 $
-52,4 %
115.417.968 $-17.927.323 $
-53,8 %
114.836.609 $-15.104.783 $
-50,4 %
1
COZAD ASSET MANAGEMENT INC→ 015.376.626 $+2.039.724 $
+15,3 %
113.336.902 $+384.411 $
+3,0 %
112.952.491 $-1.716.242 $
-11,7 %
114.668.733 $+1.308.710 $
+9,8 %
1
iSHARES TRUST→ 013.984.823 $+667.429 $
+5,0 %
113.317.394 $-905.850 $
-6,4 %
114.223.244 $+2.667.296 $
+23,1 %
111.555.948 $+2.209.046 $
+23,6 %
1
BlackRock Finance, Inc.→ 07.371.818 $+711.756 $
+10,7 %
16.660.062 $+556.068 $
+9,1 %
16.103.994 $-26.642 $
-0,4 %
16.130.636 $+570.562 $
+10,3 %
1
COCA COLA COKO→ 0Neutral6.183.700 $+380.146 $
+6,6 %
15.803.554 $+314.313 $
+5,7 %
15.489.241 $+281.882 $
+5,4 %
15.207.359 $+3.715.193 $
+249,0 %
1
VANGUARD STAR FDS→ 04.232.353 $+3.889.862 $
+1.135,8 %
13.789.185 $-12.888.401 $
-77,3 %
13.610.483 $+1.183.314 $
+48,8 %
13.366.011 $-29.018.869 $
-89,6 %
1
BERKSHIRE HATHAWAY INCBRK-B→ 0Neutral3.961.087 $+155.760 $
+4,1 %
13.805.327 $-242.513 $
-6,0 %
14.047.840 $-162.608 $
-3,9 %
14.210.448 $+4.210.448 $1
SPDR SERIES TRUST→ 03.964.181 $+388.253 $
+10,9 %
13.575.928 $+2.910.243 $
+437,2 %
1665.685 $+225.788 $
+51,3 %
1439.897 $+12.212 $
+2,9 %
1
Apple Inc.AAPL→ 0Neutral2.370.824 $+48.866 $
+2,1 %
12.321.958 $-282.124 $
-10,8 %
12.604.082 $+82.088 $
+3,3 %
12.521.994 $-530.711 $
-17,4 %
1
AMERICAN BEACON SELECT FUNDS→ 02.482.949 $-1.306.236 $
-34,5 %
12.425.607 $+2.044.858 $
+537,1 %
12.427.169 $-938.842 $
-27,9 %
12.253.737 $+1.946.020 $
+632,4 %
1
New York Life Investments ETF Trust→ 02.067.705 $+2.067.705 $1
PINTEREST, INC.PINS→ 0Stark1.371.640 $+329.763 $
+31,7 %
11.041.877 $-428.908 $
-29,2 %
11.470.785 $-356.761 $
-19,5 %
11.827.546 $+1.827.546 $1
NVIDIA CORPNVDA→ 0Neutral1.738.399 $+97.282 $
+5,9 %
11.641.117 $-73.759 $
-4,3 %
11.714.876 $+11.393 $
+0,7 %
11.703.483 $+383.312 $
+29,0 %
1
HOME DEPOT, INC.HD→ 0Stark1.270.949 $+12.636 $
+1,0 %
11.258.313 $-158.402 $
-11,2 %
11.416.715 $-302.167 $
-17,6 %
11.718.882 $-97.145 $
-5,3 %
1
JOHNSON & JOHNSONJNJ→ 0Neutral1.263.581 $-101.938 $
-7,5 %
11.365.519 $+215.141 $
+18,7 %
11.150.378 $+71.100 $
+6,6 %
11.079.278 $+163.279 $
+17,8 %
1
Alphabet Inc.GOOGL→ 0Neutral1.348.538 $+225.204 $
+20,0 %
11.123.334 $-106.147 $
-8,6 %
11.229.481 $+227.970 $
+22,8 %
11.001.511 $-182.214 $
-15,4 %
1
SCHWAB STRATEGIC TRUST→ 01.276.702 $+134.953 $
+11,8 %
11.141.749 $-51.401 $
-4,3 %
11.193.150 $-16.146 $
-1,3 %
11.209.296 $+79.492 $
+7,0 %
1
SPDR GOLD TRUSTGLD→ 0890.006 $-308.791 $
-25,8 %
11.198.797 $+181.040 $
+17,8 %
11.017.757 $+102.305 $
+11,2 %
1915.452 $+151.853 $
+19,9 %
1
EXXON MOBIL CORPXOM→ 0Stark400.028 $-96.378 $
-19,4 %
1496.406 $-620.438 $
-55,6 %
11.116.844 $+70.441 $
+6,7 %
11.046.403 $+43.352 $
+4,3 %
1
MICROSOFT CORPMSFT→ 0Neutral687.104 $+3.732 $
+0,5 %
1683.372 $-268.876 $
-28,2 %
1952.248 $-164.452 $
-14,7 %
11.116.700 $-552.111 $
-33,1 %
1
VANGUARD WORLD FUND→ 0957.430 $+85.429 $
+9,8 %
1872.001 $-49.695 $
-5,4 %
1921.696 $+90.457 $
+10,9 %
1831.239 $+36.054 $
+4,5 %
1
COSTCO WHOLESALE CORP /NEWCOST→ 0Stark640.995 $-78.660 $
-10,9 %
1719.655 $+97.725 $
+15,7 %
1621.930 $-45.646 $
-6,8 %
1667.576 $-329.504 $
-33,0 %
1
VANGUARD SCOTTSDALE FUNDS→ 0550.900 $+550.900 $1
JPMORGAN CHASE & COJPM→ 0Stark536.781 $+68.220 $
+14,6 %
1468.561 $-55.973 $
-10,7 %
1524.534 $+11.053 $
+2,2 %
1513.481 $-65.677 $
-11,3 %
1
Meta Platforms, Inc.META→ 0Neutral373.481 $-12.728 $
-3,3 %
1386.209 $-51.433 $
-11,8 %
1437.642 $-87.441 $
-16,7 %
1525.083 $+81.490 $
+18,4 %
1
PROCTER & GAMBLE CoPG→ 0Neutral488.088 $+4.336 $
+0,9 %
1483.752 $+2.018 $
+0,4 %
1481.734 $-34.757 $
-6,7 %
1516.491 $-38.656 $
-7,0 %
1
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSM→ 0Sehr stark462.288 $+132.787 $
+40,3 %
1329.501 $+27.137 $
+9,0 %
1
MARSH & MCLENNAN COMPANIES, INC.MRSH→ 0Stark350.007 $-14.238 $
-3,9 %
1364.245 $-25.347 $
-6,5 %
1389.592 $-33.621 $
-7,9 %
1423.213 $-35.931 $
-7,8 %
1
GENERAL ELECTRIC COGE→ 0Stark412.224 $+99.226 $
+31,7 %
1312.998 $-26.759 $
-7,9 %
1339.757 $+7.953 $
+2,4 %
1331.804 $+47.903 $
+16,9 %
1
VANGUARD SPECIALIZED FUNDS→ 0342.491 $-2.140.458 $
-86,2 %
1380.749 $+67.343 $
+21,5 %
1313.406 $-15.104.562 $
-98,0 %
1307.717 $-14.528.892 $
-97,9 %
1
GENERAL DYNAMICS CORPGD→ 0Neutral354.240 $+11.020 $
+3,2 %
1343.220 $+6.560 $
+1,9 %
1336.660 $-4.340 $
-1,3 %
1341.000 $+341.000 $1
ISHARES GOLD TRUSTIAU→ 0291.695 $-48.867 $
-14,3 %
1340.562 $-11.878 $
-3,4 %
1352.440 $+6.928 $
+2,0 %
1345.512 $+49.427 $
+16,7 %
1
SOUTHERN COSO→ 0Stark347.569 $+347.569 $1
CHEVRON CORPCVX→ 0Sehr stark273.990 $-68.001 $
-19,9 %
1341.991 $+90.068 $
+35,8 %
1251.923 $-4.760 $
-1,9 %
1256.683 $+20.000 $
+8,5 %
1
LOCKHEED MARTIN CORPLMT→ 0Stark277.801 $-51.764 $
-15,7 %
1329.565 $+69.834 $
+26,9 %
1259.731 $-8.345 $
-3,1 %
1268.076 $+19.370 $
+7,8 %
1
AMAZON COM INCAMZN→ 0Stark319.614 $+31.160 $
+10,8 %
1288.454 $-24.076 $
-7,7 %
1312.530 $+15.232 $
+5,1 %
1297.298 $-587.721 $
-66,4 %
1
GE Vernova Inc.GEV→ 0Neutral308.988 $+79.415 $
+34,6 %
1229.573 $+229.573 $1
CBIZ, Inc.CBZ→ 0Schwach308.481 $+50.291 $
+19,5 %
1258.190 $+258.190 $1
INTUITIVE SURGICAL INCISRG→ 0Neutral227.268 $-78.566 $
-25,7 %
1305.834 $+32.129 $
+11,7 %
1273.705 $-58.862 $
-17,7 %
1
WELLS FARGO & COMPANY/MNWFC→ 0Schwach283.308 $+28.513 $
+11,2 %
1254.795 $+11.248 $
+4,6 %
1
CELESTICA INCCLS→ 0Sehr schwach203.194 $-62.855 $
-23,6 %
1266.049 $+44.307 $
+20,0 %
1221.742 $+221.742 $1
MCDONALDS CORPMCD→ 0Neutral217.870 $-43.815 $
-16,7 %
1261.685 $+4.345 $
+1,7 %
1257.340 $+1.465 $
+0,6 %
1255.875 $+9.868 $
+4,0 %
1
CONOCOPHILLIPSCOP→ 0Sehr stark259.068 $+259.068 $1
UNITED COMMUNITY BANKS INCUCB→ 0Stark255.548 $+26.218 $
+11,4 %
1229.330 $+1.966 $
+0,9 %
1227.364 $-947 $
-0,4 %
1228.311 $+228.311 $1
BANK OF AMERICA CORP /DE/BAC→ 0Neutral248.946 $+35.957 $
+16,9 %
1212.989 $-27.306 $
-11,4 %
1240.295 $+14.898 $
+6,6 %
1225.397 $-70.732 $
-23,9 %
1
REGIONS FINANCIAL CORPRF→ 0Stark248.404 $+33.560 $
+15,6 %
1214.844 $-8.061 $
-3,6 %
1222.905 $+6.004 $
+2,8 %
1216.901 $+216.901 $1
AbbVie Inc.ABBV→ 0Neutral235.772 $+31.996 $
+15,7 %
1203.776 $-10.306 $
-4,8 %
1214.082 $-2.858 $
-1,3 %
1216.940 $-5.422 $
-2,4 %
1
SELECT SECTOR SPDR TRUST→ 0226.556 $+17.918 $
+8,6 %
1208.638 $-22.820 $
-9,9 %
1231.458 $+3.803 $
+1,7 %
1227.655 $+6.339 $
+2,9 %
1
HOLLENCREST CAPITAL MANAGEMENT→ 0214.453 $+214.453 $1
NORFOLK SOUTHERN CORPNSC→ 0Neutral206.056 $+206.056 $1
289.529.748 $+49.458.639 $
+36,3 %
50269.747.501 $+12.597.563 $
+47,7 %
48257.667.470 $+6.446.853 $
+17,8 %
45246.202.649 $-5.140.778 $
+50,4 %
45
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