Investments: Consolidated Portfolio Review Corp

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: Consolidated Portfolio Review Corp
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
566.973.410 $+137.684.539 $
+1.287,4 %
20513.445.401 $-63.954.149 $
+6,8 %
20521.925.978 $+269.262.198 $
+1.321,8 %
20630.616.137 $+56.513.483 $
+73,2 %
264
iSHARES TRUST→ 0107.241.821 $+13.977.110 $
+15,0 %
193.264.711 $-4.240.373 $
-4,3 %
197.505.084 $+70.901.978 $
+266,5 %
126.603.106 $+5.657.701 $
+27,0 %
1
ISHARES TR→ 098.025.872 $+97.404.274 $
+15.670,0 %
187.443.316 $+33.653.923 $
+62,6 %
185.210.613 $+84.384.119 $
+10.209,9 %
145.379.116 $+45.062.823 $
+14.247,2 %
1
INVESCO QQQ TRUST, SERIES 1QQQ→ 093.928.600 $+19.388.077 $
+26,0 %
174.540.523 $-4.741.848 $
-6,0 %
179.282.371 $+73.237.637 $
+1.211,6 %
16.044.734 $+812.368 $
+15,5 %
1
Fidelity Wise Origin Bitcoin FundFBTC→ 042.594.435 $-6.658.249 $
-13,5 %
149.252.684 $-14.351.112 $
-22,6 %
163.603.796 $+48.217.386 $
+313,4 %
115.386.410 $+1.248.998 $
+8,8 %
1
VANGUARD TAX-MANAGED FDS→ 056.454.581 $+55.893.914 $
+9.969,2 %
153.789.393 $+1.351.450 $
+2,6 %
152.437.943 $+51.889.419 $
+9.459,8 %
111.209.541 $+9.869.126 $
+736,3 %
1
Apple Inc.AAPL→ 0Neutral9.029.479 $+1.109.962 $
+14,0 %
17.919.517 $+496.380 $
+6,7 %
17.423.137 $-44.737.737 $
-85,8 %
152.160.874 $+10.295.466 $
+24,6 %
1
Alphabet Inc.GOOGL→ 0Stark34.555.374 $+4.141.217 $
+13,6 %
130.414.157 $+1.961.617 $
+6,9 %
128.452.540 $+19.959.870 $
+235,0 %
18.492.670 $+2.794.453 $
+49,0 %
1
SPDR GOLD TRUSTGLD→ 026.237.866 $-4.409.539 $
-14,4 %
130.647.405 $+2.420.225 $
+8,6 %
128.227.180 $+22.856.739 $
+425,6 %
15.370.441 $+979.670 $
+22,3 %
1
VANGUARD WORLD FUND→ 024.332.732 $-1.923.807 $
-7,3 %
1
SCHWAB STRATEGIC TRUST→ 023.966.006 $+2.690.178 $
+12,6 %
1
MICROSOFT CORPMSFT→ 0Neutral5.166.327 $+39.472 $
+0,8 %
15.126.855 $+527.629 $
+11,5 %
14.599.226 $-17.554.220 $
-79,2 %
122.153.446 $+1.612.669 $
+7,9 %
1
BlackRock Fund Advisors→ 019.243.275 $+1.205.444 $
+6,7 %
118.037.831 $+213.194 $
+1,2 %
117.824.637 $+16.208.520 $
+1.002,9 %
11.616.117 $+96.700 $
+6,4 %
1
VANGUARD GROUP INC→ 018.507.419 $+433.036 $
+2,4 %
1
COZAD ASSET MANAGEMENT INC→ 016.795.198 $+730.780 $
+4,5 %
1
ADVISORS MANAGEMENT GROUP INC /ADV→ 016.405.483 $+1.879.754 $
+12,9 %
114.525.729 $+68.534 $
+0,5 %
114.457.195 $+12.129.734 $
+521,2 %
12.327.461 $+165.858 $
+7,7 %
1
Strategy IncMSTR→ 0Schwach13.564.397 $-3.628.313 $
-21,1 %
1
SPDR SERIES TRUST→ 011.600.399 $+855.961 $
+8,0 %
1
KCM INVESTMENT ADVISORS LLC→ 010.539.860 $+2.397.258 $
+29,4 %
1
Atlas Energy Solutions Inc.AESI→ 0Neutral10.430.166 $+2.191.528 $
+26,6 %
18.238.638 $+2.323.396 $
+39,3 %
15.915.242 $+5.915.242 $1
MAI Capital Management→ 010.028.613 $+7.063.030 $
+238,2 %
1
Roivant Sciences Ltd.ROIV→ 0Schwach9.786.397 $+2.126.516 $
+27,8 %
17.659.881 $+1.659.180 $
+27,6 %
16.000.701 $+6.000.701 $1
SELECT SECTOR SPDR TRUST→ 09.060.631 $-1.380.375 $
-13,2 %
1
ASML HOLDING NVASML→ 0Sehr stark8.962.427 $+3.012.088 $
+50,6 %
15.950.339 $+2.714.012 $
+83,9 %
13.236.327 $+2.219.832 $
+218,4 %
11.016.495 $+359.355 $
+54,7 %
1
NVIDIA CORPNVDA→ 0Neutral8.795.821 $+1.941.289 $
+28,3 %
1
VANGUARD WHITEHALL FDS→ 08.344.182 $-2.865.359 $
-25,6 %
1
AMAZON COM INCAMZN→ 0Neutral7.574.445 $+955.624 $
+14,4 %
16.618.821 $-716.639 $
-9,8 %
17.335.460 $-860.210 $
-10,5 %
18.195.670 $+1.075.587 $
+15,1 %
1
BERKSHIRE HATHAWAY INCBRK-B→ 0Neutral3.744.250 $+153.550 $
+4,3 %
13.590.700 $-183.300 $
-4,9 %
13.774.000 $-3.784.696 $
-50,1 %
17.558.696 $+178.878 $
+2,4 %
1
JPMORGAN CHASE & COJPM→ 0Neutral7.037.595 $+713.155 $
+11,3 %
16.324.440 $-603.290 $
-8,7 %
16.927.730 $+3.542.546 $
+104,6 %
13.385.184 $+398.243 $
+13,3 %
1
Meta Platforms, Inc.META→ 0Neutral5.765.273 $-90.478 $
-1,5 %
15.855.751 $-900.270 $
-13,3 %
16.756.021 $+4.315.682 $
+176,8 %
12.440.339 $+327.497 $
+15,5 %
1
VERIZON COMMUNICATIONS INCVZ→ 0Sehr stark6.443.944 $+240.151 $
+3,9 %
1
iShares Silver TrustSLV→ 05.808.546 $+1.373.553 $
+31,0 %
1
ELI LILLY & CoLLY→ 0Neutral5.482.020 $-215.970 $
-3,8 %
1
REALTY INCOME CORPO→ 0Stark5.057.819 $+211.810 $
+4,4 %
1
Innovator ETFs Trust→ 04.823.962 $+197.958 $
+4,3 %
1
VANGUARD SPECIALIZED FUNDS→ 04.618.079 $+2.765.290 $
+149,3 %
1
Walmart Inc.WMT→ 0Stark4.559.005 $+17.898 $
+0,4 %
1
PROCTER & GAMBLE CoPG→ 0Neutral4.326.825 $-279.174 $
-6,1 %
1
Tesla, Inc.TSLA→ 0Neutral4.168.146 $+484.103 $
+13,1 %
13.684.043 $+1.275.792 $
+53,0 %
12.408.251 $-918.255 $
-27,6 %
13.326.506 $+993.929 $
+42,6 %
1
SONATA CAPITAL GROUP INC→ 04.153.721 $+286.403 $
+7,4 %
1
ENTERPRISE PRODUCTS PARTNERS L.P.EPD→ 03.832.107 $+41.166 $
+1,1 %
1
PIMCO CORPORATE & INCOME STRATEGY FUNDPCN→ 03.742.616 $+615.443 $
+19,7 %
1
FIRST TRUST EXCHANGE-TRADED FUND VIII→ 03.664.728 $+752.953 $
+25,9 %
1
PFIZER INCPFE→ 0Stark3.658.384 $+67.922 $
+1,9 %
1
JOHNSON & JOHNSONJNJ→ 0Stark3.514.528 $+849.894 $
+31,9 %
1
ADAMS DIVERSIFIED EQUITY FUND, INC.ADX→ 03.424.477 $+119.954 $
+3,6 %
1
PIMCO Dynamic Income Opportunities FundPDO→ 03.370.467 $+342.629 $
+11,3 %
1
LAM RESEARCH CORPLRCX→ 0Stark3.271.735 $+911.622 $
+38,6 %
1
PRUDENTIAL FINANCIAL INCPRU→ 0Sehr stark3.108.479 $-113.546 $
-3,5 %
1
DoubleLine Yield Opportunities FundDLY→ 02.880.836 $+130.677 $
+4,8 %
1
INTERNATIONAL BUSINESS MACHINES CORPIBM→ 0Schwach2.729.038 $-79.380 $
-2,8 %
1
WESTERN ASSET PREMIER BOND FUNDWEA→ 02.678.228 $+300.559 $
+12,6 %
1
BLACKROCK CORE BOND TRUSTBHK→ 02.642.755 $+958.126 $
+56,9 %
1
Cohen & Steers Real Estate Opportunities & Income FundRLTY→ 02.629.262 $+442.805 $
+20,3 %
1
REAVES UTILITY INCOME FUNDUTG→ 02.609.928 $-2.166.232 $
-45,4 %
1
BLACKROCK INCOME TRUST, INC.BKT→ 02.607.637 $+290.155 $
+12,5 %
1
COHEN & STEERS QUALITY INCOME REALTY FUND INCRQI→ 02.521.564 $+322.692 $
+14,7 %
1
PIMCO Income Strategy Fund IIPFN→ 02.430.820 $-323.368 $
-11,7 %
1
WisdomTree, Inc.WT→ 0Stark2.392.150 $+118.273 $
+5,2 %
1
DoubleLine Opportunistic Credit FundDBL→ 02.347.380 $+1.009.276 $
+75,4 %
1
HOME DEPOT, INC.HD→ 0Neutral2.311.238 $+230.679 $
+11,1 %
1
iShares, Inc.→ 02.220.935 $+32.469 $
+1,5 %
1
ADOBE INC.ADBE→ 0Neutral2.200.102 $-237.629 $
-9,7 %
1
Duff & Phelps Utility & Infrastructure Fund Inc.DPG→ 02.161.442 $-72.498 $
-3,2 %
1
CAMPBELL CAPITAL MANAGEMENT INC→ 02.123.133 $-450.591 $
-17,5 %
1
Western Asset Diversified Income Fund (WDI)WDI→ 02.112.636 $+55.218 $
+2,7 %
1
Invesco Ltd.IVZ→ 0Sehr stark2.093.141 $+86.434 $
+4,3 %
1
Western Asset Mortgage Opportunity Fund Inc.DMO→ 02.091.014 $-95.362 $
-4,4 %
1
BRISTOL MYERS SQUIBB COBMY→ 0Stark2.063.490 $-50.982 $
-2,4 %
1
ROYCE SMALL-CAP TRUST, INC.RVT→ 02.059.962 $+445.097 $
+27,6 %
1
First Trust Intermediate Duration Preferred & Income FundFPF→ 02.036.433 $-62.744 $
-3,0 %
1
BlackRock Health Sciences TrustBME→ 02.029.872 $+612.350 $
+43,2 %
1
COHEN & STEERS INFRASTRUCTURE FUND INCUTF→ 01.987.683 $-293.929 $
-12,9 %
1
W. P. Carey Inc.WPC→ 0Stark1.986.490 $+163.185 $
+8,9 %
1
PIMCO CORPORATE & INCOME OPPORTUNITY FUNDPTY→ 01.898.253 $+106.130 $
+5,9 %
1
Broadcom Inc.AVGO→ 0Neutral1.882.220 $+302.623 $
+19,2 %
1
J P MORGAN EXCHANGE TRADED F→ 01.852.789 $+1.066.667 $
+135,7 %
1
CHEVRON CORPCVX→ 0Sehr stark1.794.303 $+114.903 $
+6,8 %
1
Grayscale Bitcoin Trust ETFGBTC→ 01.782.328 $+104.966 $
+6,3 %
1
CISCO SYSTEMS, INC.CSCO→ 0Stark1.781.216 $-21.974 $
-1,2 %
1
ABERDEEN INDIA FUND, INC.IFN→ 01.780.471 $-188.071 $
-9,6 %
1
JAMES INVESTMENT RESEARCH, INC.→ 01.692.521 $-29.513 $
-1,7 %
1
TORTOISE SUSTAINABLE & SOCIAL IMPACT TERM FUND→ 01.617.564 $+1.105.147 $
+215,7 %
1
AMGEN INCAMGN→ 0Neutral1.609.151 $-13.363 $
-0,8 %
1
XAI Floating Rate & Alternative Income TrustXFLT→ 01.583.787 $-15.431 $
-1,0 %
1
COSTCO WHOLESALE CORP /NEWCOST→ 0Stark1.525.401 $-32.413 $
-2,1 %
1
AMPHENOL CORP /DE/APH→ 0Neutral1.493.433 $+1.095.562 $
+275,4 %
1
EXXON MOBIL CORPXOM→ 0Stark1.439.986 $+61.011 $
+4,4 %
1
LISTED FDS TR→ 01.412.491 $+590.873 $
+71,9 %
1
ORACLE CORPORCL→ 0Neutral1.403.048 $+323.538 $
+30,0 %
1
GENERAL ELECTRIC COGE→ 0Neutral1.401.838 $+452.356 $
+47,6 %
1
ANGEL OAK FUNDS TRUST→ 01.340.415 $-44.038.701 $
-97,0 %
1
VISA INC.V→ 0Neutral1.270.258 $+312.753 $
+32,7 %
1
PUTNAM MASTER INTERMEDIATE INCOME TRUSTPIM→ 01.263.124 $+46.416 $
+3,8 %
1
ABERDEEN GOVERNMENT MARKETS INCOME FUNDMGF→ 01.234.120 $-25.802 $
-2,0 %
1
Easterly Government Properties, Inc.DEA→ 0Stark1.211.184 $+256.570 $
+26,9 %
1
INSULET CORPPODD→ 0Neutral1.143.536 $-34.011 $
-2,9 %
1
HEALTHPEAK PROPERTIES, INC.DOC→ 0Neutral1.141.943 $+188.787 $
+19,8 %
1
QUALCOMM INC/DEQCOM→ 0Neutral1.130.554 $+65.719 $
+6,2 %
1
AT&T INC.T→ 0Sehr stark1.124.640 $-68.445 $
-5,7 %
1
GLOBALT Investments LLC / GA→ 01.122.710 $+70.028 $
+6,7 %
1
DoubleLine Income Solutions FundDSL→ 01.103.832 $-224.637 $
-16,9 %
1
CSX CORPCSX→ 0Neutral1.090.114 $+89.079 $
+8,9 %
1
CROWN CASTLE INC.CCI→ 0Neutral1.058.107 $-55.761 $
-5,0 %
1
KLA CORPKLAC→ 0Stark1.039.438 $+162.172 $
+18,5 %
1
TIMOTHY PLAN→ 01.038.059 $+59.115 $
+6,0 %
1
TORTOISE ENERGY INFRASTRUCTURE CORPTYG→ 01.032.468 $+1.032.468 $1
SHERWIN WILLIAMS COSHW→ 0Neutral1.031.187 $+5.955 $
+0,6 %
1
Healthcare Realty Trust IncHR→ 0Stark1.005.820 $+131.160 $
+15,0 %
1
Invesco Exchange-Traded Self-Indexed Fund Trust→ 01.001.125 $+64.196 $
+6,9 %
1
Voya Infrastructure, Industrials & Materials FundIDE→ 0989.984 $-77.159 $
-7,2 %
1
EMERSON ELECTRIC COEMR→ 0Neutral980.806 $-41.917 $
-4,1 %
1
NETFLIX INCNFLX→ 0Stark980.717 $+384.804 $
+64,6 %
1
LOCKHEED MARTIN CORPLMT→ 0Sehr stark947.511 $+69.854 $
+8,0 %
1
FIRST TRUST EXCHANGE-TRADED FUND→ 0946.699 $+36.094 $
+4,0 %
1
ALEXANDRIA REAL ESTATE EQUITIES, INC.ARE→ 0Stark932.325 $+182.824 $
+24,4 %
1
UNITED PARCEL SERVICE INCUPS→ 0Neutral917.940 $-614.525 $
-40,1 %
1
INTEL CORPINTC→ 0Neutral912.472 $+212.364 $
+30,3 %
1
AMERICAN TOWER CORP /MA/AMT→ 0Schwach861.705 $-153.526 $
-15,1 %
1
Mastercard IncMA→ 0Neutral837.671 $-264.390 $
-24,0 %
1
Prologis, Inc.PLD→ 0Neutral834.514 $+115.040 $
+16,0 %
1
CINTAS CORPCTAS→ 0Neutral832.789 $-206.438 $
-19,9 %
1
AGNICO EAGLE MINES LTDAEM→ 0830.495 $+575.152 $
+225,2 %
1
FIDELITY MERRIMACK STR TR→ 0826.494 $-7.517.688 $
-90,1 %
1
FIRST TR EXCHNG TRADED FD VI→ 0821.618 $-3.796.461 $
-82,2 %
1
O REILLY AUTOMOTIVE INCORLY→ 0Schwach819.033 $+207.952 $
+34,0 %
1
PEPSICO INCPEP→ 0Stark816.074 $+58.322 $
+7,7 %
1
UNION PACIFIC CORPUNP→ 0Stark783.598 $-6.974 $
-0,9 %
1
SVB WEALTH LLC→ 0780.394 $+36.496 $
+4,9 %
1
NEW YORK LIFE INVESTMENT MANAGEMENT LLC→ 0771.659 $+209.192 $
+37,2 %
1
Walt Disney CoDIS→ 0Neutral771.161 $-243.301 $
-24,0 %
1
PIMCO Dynamic Income FundPDI→ 0770.244 $+61.448 $
+8,7 %
1
APPLIED MATERIALS INC /DEAMAT→ 0Stark760.789 $+82.800 $
+12,2 %
1
Western Asset High Yield Opportunity Fund Inc.HYI→ 0756.799 $-50.914 $
-6,3 %
1
CUMMINS INCCMI→ 0Stark750.323 $+165.349 $
+28,3 %
1
SMITH SHELLNUT WILSON LLC /ADV→ 0735.913 $+18.306 $
+2,6 %
1
BlackRock ETF Trust→ 0687.324 $+10.750 $
+1,6 %
1
Columbia Seligman Premium Technology Growth Fund, Inc.STK→ 0685.139 $+71.783 $
+11,7 %
1
GABELLI EQUITY TRUST INCGAB→ 0659.802 $+4.867 $
+0,7 %
1
BANK OF AMERICA CORP /DE/BAC→ 0Neutral658.989 $-142.830 $
-17,8 %
1
Rexford Industrial Realty, Inc.REXR→ 0Stark652.051 $+176.190 $
+37,0 %
1
GE Vernova Inc.GEV→ 0Sehr stark642.573 $+107.602 $
+20,1 %
1
FS Credit Opportunities Corp.FSCO→ 0630.144 $-3.037 $
-0,5 %
1
HA Sustainable Infrastructure Capital, Inc.HASI→ 0Neutral626.601 $+83.876 $
+15,5 %
1
VANGUARD STAR FDS→ 0621.598 $-55.832.983 $
-98,9 %
1560.667 $-86.882.649 $
-99,4 %
1548.524 $-84.662.089 $
-99,4 %
1
United States Gasoline Fund, LPUGA→ 0612.051 $+112.146 $
+22,4 %
1
Energy Transfer LPET→ 0609.509 $-41.632 $
-6,4 %
1
FLAHERTY & CRUMRIN PFD & INM→ 0576.013 $-836.478 $
-59,2 %
1
AbbVie Inc.ABBV→ 0Neutral559.020 $+118.496 $
+26,9 %
1
ROYAL CARIBBEAN CRUISES LTDRCL→ 0Neutral553.366 $+247.805 $
+81,1 %
1
MCDONALDS CORPMCD→ 0Stark553.224 $+28.683 $
+5,5 %
1
NEXTERA ENERGY INCNEE→ 0Sehr stark545.172 $+1.729 $
+0,3 %
1
Ancora Advisors LLC→ 0541.843 $+46.589 $
+9,4 %
1
GARMIN LTDGRMN→ 0Stark526.174 $+80.347 $
+18,0 %
1
BlackRock Finance, Inc.→ 0522.192 $+30.914 $
+6,3 %
1
British American Tobacco p.l.c.BTI→ 0515.407 $+45.657 $
+9,7 %
1
SOUTHERN COSO→ 0Neutral503.596 $+4.451 $
+0,9 %
1
ABBOTT LABORATORIESABT→ 0Neutral502.469 $+271.447 $
+117,5 %
1
COCA COLA COKO→ 0Stark502.161 $-2.839 $
-0,6 %
1
CrowdStrike Holdings, Inc.CRWD→ 0Neutral487.928 $-17.308 $
-3,4 %
1
MCKESSON CORPMCK→ 0Neutral487.093 $-442 $
-0,1 %
1
T-Mobile US, Inc.TMUS→ 0Neutral482.042 $+482.042 $1
XAI Madison Equity Premium Income FundMCN→ 0475.894 $-102.007 $
-17,7 %
1
Palantir Technologies Inc.PLTR→ 0Neutral474.839 $+37.524 $
+8,6 %
1
COHEN & STEERS TOTAL RETURN REALTY FUND INCRFI→ 0464.083 $+26.612 $
+6,1 %
1
NXG Cushing Midstream Energy FundSRV→ 0453.161 $+453.161 $1
NUSCALE POWER CorpSMR→ 0Schwach452.520 $-63.461 $
-12,3 %
1
NUVEEN REAL ESTATE INCOME FUNDJRS→ 0452.376 $+67.398 $
+17,5 %
1
AUTOMATIC DATA PROCESSING INCADP→ 0Neutral450.049 $-20.374 $
-4,3 %
1
Warner Bros. Discovery, Inc.WBD→ 0Schwach449.131 $+166.333 $
+58,8 %
1
COMCAST CORPCMCSA→ 0Neutral442.863 $+223.536 $
+101,9 %
1
CarGurus, Inc.CARG→ 0Stark440.431 $+440.431 $1
Ferrari N.V.RACE→ 0436.213 $+436.213 $1
abrdn Gold ETF TrustSGOL→ 0430.677 $+61.659 $
+16,7 %
1
ALTRIA GROUP, INC.MO→ 0Stark428.638 $-60.053 $
-12,3 %
1
LOWES COMPANIES INCLOW→ 0Neutral425.525 $+49.010 $
+13,0 %
1
Merck & Co., Inc.MRK→ 0Sehr stark413.284 $+29.051 $
+7,6 %
1
ServiceNow, Inc.NOW→ 0Neutral413.206 $-446.269 $
-51,9 %
1
DEERE & CODE→ 0Stark411.069 $-32.708 $
-7,4 %
1
Eaton Corp plcETN→ 0Neutral399.699 $+57.346 $
+16,8 %
1
J.P. Morgan Exchange-Traded Fund Trust→ 0399.100 $+16.236 $
+4,2 %
1
ENBRIDGE INCENB→ 0Stark393.184 $-5.269 $
-1,3 %
1
VERTEX PHARMACEUTICALS INC / MAVRTX→ 0Neutral392.423 $+392.423 $1
CION Investment CorpCION→ 0Neutral388.424 $-3.688 $
-0,9 %
1
SHOPIFY INC.SHOP→ 0Neutral388.169 $+128.055 $
+49,2 %
1
S&P Global Inc.SPGI→ 0Neutral382.491 $-27.105 $
-6,6 %
1
Trane Technologies plcTT→ 0Neutral375.122 $-112.590 $
-23,1 %
1
MICRON TECHNOLOGY INCMU→ 0Stark372.797 $+65.532 $
+21,3 %
1
Booking Holdings Inc.BKNG→ 0Neutral372.550 $-3.751 $
-1,0 %
1
AFLAC INCAFL→ 0Stark368.393 $+10.351 $
+2,9 %
1
THERMO FISHER SCIENTIFIC INC.TMO→ 0Neutral365.222 $+37.203 $
+11,3 %
1
LINDE PLCLIN→ 0Stark362.448 $+7.268 $
+2,0 %
1
METLIFE INCMET→ 0Stark360.225 $-29.516 $
-7,6 %
1
ASTRAZENECA PLCAZN→ 0Stark359.628 $+28.788 $
+8,7 %
1
Global X Funds→ 0348.002 $-18.907 $
-5,2 %
1
Palo Alto Networks IncPANW→ 0Neutral341.878 $-23.404 $
-6,4 %
1
EQUITY RESIDENTIALEQR→ 0Stark337.915 $-10.229 $
-2,9 %
1
NOVARTIS AGNVS→ 0337.143 $+19.008 $
+6,0 %
1
ChronoScale Holdings CorpEKSO→ 0332.850 $+332.850 $1
D L CARLSON INVESTMENT GROUP INC→ 0329.725 $+17.859 $
+5,7 %
1
WASTE MANAGEMENT INCWM→ 0Sehr stark329.331 $-11.804 $
-3,5 %
1
Arista Networks, Inc.ANET→ 0Neutral327.993 $+80.403 $
+32,5 %
1
TAPESTRY, INC.TPR→ 0Sehr stark327.093 $+327.093 $1
NEWMONT Corp /DE/NEM→ 0Sehr stark319.907 $+319.907 $1
CLOVER HEALTH INVESTMENTS, CORP. /DECLOV→ 0Schwach319.593 $+214.762 $
+204,9 %
1
BOEING COBA→ 0Neutral318.349 $+7.826 $
+2,5 %
1
CARDINAL HEALTH INCCAH→ 0Neutral316.431 $+316.431 $1
ISHARES INC→ 0316.293 $-259.720 $
-45,1 %
1
PROSHARES TRUST→ 0315.902 $+10.921 $
+3,6 %
1
CITIGROUP INCC→ 0Neutral311.130 $+15.155 $
+5,1 %
1
FRANKLIN RESOURCES INCBEN→ 0Neutral306.588 $-107.925 $
-26,0 %
1
BLACKROCK Ltd DURATION INCOME TRUSTBLW→ 0304.696 $-1.451 $
-0,5 %
1
PROGRESSIVE CORP/OH/PGR→ 0Sehr stark303.863 $-86.041 $
-22,1 %
1
Philip Morris International Inc.PM→ 0Neutral300.772 $-17.248 $
-5,4 %
1
Alcoa CorpAA→ 0Stark297.655 $+297.655 $1
CARVANA CO.CVNA→ 0Neutral297.265 $+58.360 $
+24,4 %
1
GILEAD SCIENCES, INC.GILD→ 0Stark293.631 $+293.631 $1
MONOLITHIC POWER SYSTEMS, INC.MPWR→ 0Neutral291.843 $+70.235 $
+31,7 %
1
FREEPORT-MCMORAN INCFCX→ 0Stark290.822 $+290.822 $1
BlackRock Science & Technology TrustBST→ 0290.697 $+27.277 $
+10,4 %
1
Uber Technologies, IncUBER→ 0Neutral286.562 $-6.307 $
-2,2 %
1
Duke Energy CORPDUK→ 0Neutral286.143 $+13.075 $
+4,8 %
1
BOSTON SCIENTIFIC CORPBSX→ 0Neutral285.372 $-51.466 $
-15,3 %
1
CF Industries Holdings, Inc.CF→ 0Sehr stark283.811 $+283.811 $1
MORGAN STANLEYMS→ 0Neutral282.751 $-17.086 $
-5,7 %
1
FIRST TRUST HIGH YIELD OPPORTUNITIES 2027 TERM FUNDFTHY→ 0281.894 $-7.004 $
-2,4 %
1
STRYKER CORPSYK→ 0Neutral279.275 $+23.049 $
+9,0 %
1
Sprouts Farmers Market, Inc.SFM→ 0Stark275.482 $-41.285 $
-13,0 %
1
HONEYWELL INTERNATIONAL INCHON→ 0Neutral275.445 $-9.545 $
-3,3 %
1
WILLIAMS COMPANIES, INC.WMB→ 0Stark274.312 $+588 $
+0,2 %
1
ALNYLAM PHARMACEUTICALS, INC.ALNY→ 0Neutral274.056 $+274.056 $1
KIMBERLY CLARK CORPKMB→ 0Sehr stark269.833 $-28.620 $
-9,6 %
1
ARES CAPITAL CORPARCC→ 0Neutral269.497 $-36.029 $
-11,8 %
1
CINCINNATI FINANCIAL CORPCINF→ 0Sehr stark268.775 $+15.760 $
+6,2 %
1
TEXAS INSTRUMENTS INCTXN→ 0Neutral267.165 $-239.101 $
-47,2 %
1
Invesco Exchange-Traded Fund Trust II→ 0264.133 $+8.167 $
+3,2 %
1
INTERNATIONAL FLAVORS & FRAGRANCES INCIFF→ 0Neutral260.622 $+260.622 $1
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSM→ 0Sehr stark257.785 $+257.785 $1
Ulta Beauty, Inc.ULTA→ 0Neutral255.879 $+255.879 $1
Vertiv Holdings CoVRT→ 0Stark253.166 $-84.562 $
-25,0 %
1
DIGITAL REALTY TRUST, INC.DLR→ 0Neutral250.457 $-550 $
-0,2 %
1
Bloom Energy CorpBE→ 0Neutral244.407 $+244.407 $1
CLOROX CO /DE/CLX→ 0Stark236.243 $-2.216 $
-0,9 %
1
TARGET CORPTGT→ 0Neutral232.814 $-473.976 $
-67,1 %
1
Marathon Petroleum CorpMPC→ 0Stark230.723 $+230.723 $1
DTE ENERGY CODTE→ 0Sehr stark229.505 $+15.058 $
+7,0 %
1
KINDER MORGAN, INC.KMI→ 0Sehr stark228.944 $-67.150 $
-22,7 %
1
ADVANCED MICRO DEVICES INCAMD→ 0Neutral223.108 $+223.108 $1
NORTHROP GRUMMAN CORP /DE/NOC→ 0Sehr stark218.951 $-181.149 $
-45,3 %
1
Edwards Lifesciences CorpEW→ 0Neutral216.201 $+216.201 $1
Capital Group Dividend Value ETF→ 0212.336 $+6.238 $
+3,0 %
1
STAG Industrial, Inc.STAG→ 0Neutral210.032 $-1.172 $
-0,6 %
1
ECOLAB INC.ECL→ 0Neutral208.681 $+134 $
+0,1 %
1
STARBUCKS CORPSBUX→ 0Neutral208.174 $-60.275 $
-22,5 %
1
AMERICAN ELECTRIC POWER CO INCAEP→ 0Stark204.698 $+204.698 $1
TJX COMPANIES INC /DE/TJX→ 0Stark204.257 $+204.257 $1
AGNC Investment Corp.AGNC→ 0Stark198.517 $-39.820 $
-16,7 %
1
BlackRock Capital Allocation Term TrustBCAT→ 0187.692 $-91.943 $
-32,9 %
1
PGIM Short Duration High Yield Opportunities FundSDHY→ 0180.179 $-14.366 $
-7,4 %
1
Barings BDC, Inc.BBDC→ 0Sehr stark180.071 $-7.812 $
-4,2 %
1
FORD MOTOR COF→ 0Neutral175.619 $+1.192 $
+0,7 %
1
FIGS, Inc.FIGS→ 0Neutral169.926 $+15.390 $
+10,0 %
1
PIMCO INCOME STRATEGY FUNDPFL→ 0169.645 $-14.716 $
-8,0 %
1
Clean Energy Fuels Corp.CLNE→ 0Neutral103.468 $+103.468 $1
Flaherty & Crumrine PREFERRED & INCOME OPPORTUNITY FUND INCPFO→ 0103.421 $+5.304 $
+5,4 %
1
Invesco Senior Income TrustVVR→ 086.286 $-45.540 $
-34,5 %
1
MILESTONE SCIENTIFIC INC.MLSS→ 06.656 $-2.669 $
-28,6 %
1
FRANKLIN STREET ADVISORS INC /NC→ 06.248 $+6.248 $1
566.973.410 $+137.684.539 $
+1.287,4 %
20513.445.401 $-63.954.149 $
+6,8 %
20521.925.978 $+269.262.198 $
+1.321,8 %
20630.616.137 $+56.513.483 $
+73,2 %
264
Erweitert ×