Investments: Financial Advocates Investment Management

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: Financial Advocates Investment Management
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds. Breite = Veränderung der Halter-Breite (distinct Fonds) über das Fenster — ▲ steigend / ▼ fallend (Interesse = Flow, nicht Kurs). GCS = aktuelles Conviction-Band der Aktie.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTickerBreiteGCS2025/Q3
Investment ($)QoQ ($)QoQ (%)Anz. Fonds
140.976.597 $-390.590.935 $
+2,7 %
44
iSHARES TRUST→ 030.139.041 $-104.485.639 $
-77,6 %
1
ISHARES TR→ 025.716.260 $+24.551.308 $
+2.107,5 %
1
Apple Inc.AAPL→ 0Neutral18.173.454 $-27.402.965 $
-60,1 %
1
SPDR GOLD TRUSTGLD→ 07.762.231 $-8.868.546 $
-53,3 %
1
COZAD ASSET MANAGEMENT INC→ 05.883.206 $-54.053.109 $
-90,2 %
1
Ancora Advisors LLC→ 05.198.449 $-15.145.936 $
-74,4 %
1
KCM INVESTMENT ADVISORS LLC→ 04.625.128 $-447.137 $
-8,8 %
1
VANGUARD WORLD FUND→ 04.063.546 $-2.182.670 $
-34,9 %
1
TRUIST FINANCIAL CORPTFC→ 0Sehr stark3.882.554 $-10.955.431 $
-73,8 %
1
BlackRock ETF Trust→ 03.017.931 $+172.589 $
+6,1 %
1
SMITH SHELLNUT WILSON LLC /ADV→ 02.968.323 $-689.295 $
-18,8 %
1
Alphabet Inc.GOOGL→ 0Stark2.759.504 $-4.735.471 $
-63,2 %
1
iShares Silver TrustSLV→ 02.435.584 $-1.030.677 $
-29,7 %
1
MICROSOFT CORPMSFT→ 0Neutral2.362.812 $-23.884.567 $
-91,0 %
1
SELECT SECTOR SPDR TRUST→ 01.772.734 $-11.668.558 $
-86,8 %
1
Meta Platforms, Inc.META→ 0Neutral1.720.523 $-3.477.283 $
-66,9 %
1
Sprott Physical Silver TrustPSLV→ 01.656.337 $+398.077 $
+31,6 %
1
NVIDIA CORPNVDA→ 0Neutral1.522.452 $-36.935.283 $
-96,0 %
1
AMAZON COM INCAMZN→ 0Neutral1.403.273 $-11.348.804 $
-89,0 %
1
VANGUARD WHITEHALL FDS→ 01.164.952 $+110.361 $
+10,5 %
1
VANGUARD STAR FDS→ 01.054.591 $+839.730 $
+390,8 %
1
ISHARES GOLD TRUSTIAU→ 0952.122 $-939.348 $
-49,7 %
1
Capital Group Dividend Value ETF→ 0842.478 $-10.092.239 $
-92,3 %
1
Tesla, Inc.TSLA→ 0Neutral813.837 $-12.603.206 $
-93,9 %
1
J.P. Morgan Exchange-Traded Fund Trust→ 0799.110 $+116.236 $
+17,0 %
1
CAMPBELL CAPITAL MANAGEMENT INC→ 0774.908 $-1.038.966 $
-57,3 %
1
Capital Group Global Growth Equity ETF→ 0750.339 $-639.419 $
-46,0 %
1
BlackRock Finance, Inc.→ 0745.758 $-546.332 $
-42,3 %
1
SCHWAB STRATEGIC TRUST→ 0692.885 $-5.052.827 $
-87,9 %
1
INVESCO QQQ TRUST, SERIES 1QQQ→ 0661.889 $-8.281.648 $
-92,6 %
1
PNC FINANCIAL SERVICES GROUP, INC.PNC→ 0Stark594.849 $+273.980 $
+85,4 %
1
COSTCO WHOLESALE CORP /NEWCOST→ 0Stark543.951 $-3.702.293 $
-87,2 %
1
VANGUARD SPECIALIZED FUNDS→ 0507.191 $-25.209.069 $
-98,0 %
1
VISA INC.V→ 0Neutral488.721 $-4.875.111 $
-90,9 %
1
BERKSHIRE HATHAWAY INCBRK-B→ 0Neutral357.448 $-2.930.244 $
-89,1 %
1
WisdomTree, Inc.WT→ 0Stark289.363 $-18.049.502 $
-98,4 %
1
NETFLIX INCNFLX→ 0Stark261.365 $-2.151.748 $
-89,2 %
1
ORACLE CORPORCL→ 0Neutral249.460 $-904.008 $
-78,4 %
1
CINTAS CORPCTAS→ 0Neutral246.394 $-407.844 $
-62,3 %
1
RTX CorpRTX→ 0Neutral233.760 $-659.132 $
-73,8 %
1
PULTEGROUP INC/MI/PHM→ 0Sehr stark231.756 $+231.756 $1
Marathon Petroleum CorpMPC→ 0Stark229.361 $-75.846 $
-24,9 %
1
J P MORGAN EXCHANGE TRADED F→ 0214.861 $-851.166 $
-79,8 %
1
Mastercard IncMA→ 0Neutral211.906 $-963.653 $
-82,0 %
1
140.976.597 $-390.590.935 $
+2,7 %
44
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