Investments: Mission Financial Group, LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: Mission Financial Group, LLC
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds. Breite = Veränderung der Halter-Breite (distinct Fonds) über das Fenster — ▲ steigend / ▼ fallend (Interesse = Flow, nicht Kurs). GCS = aktuelles Conviction-Band der Aktie.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTickerBreiteGCS2026/Q2
Investment ($)QoQ ($)QoQ (%)Anz. Fonds
94.935.727 $+81.653.565 $
+8.401,4 %
100
FIRST TRUST EXCHANGE-TRADED FUND VIII→ 013.621.695 $+13.621.695 $1
Apple Inc.AAPL→ 0Neutral4.859.838 $+4.859.838 $1
COZAD ASSET MANAGEMENT INC→ 04.490.415 $+4.490.415 $1
FIRST TR EXCHANGE-TRADED FD→ 04.058.499 $+3.252.686 $
+403,7 %
1
T ROWE PRICE EXCHANGE-TRADED→ 03.780.200 $-278.299 $
-6,9 %
1
Alphabet Inc.GOOGL→ 0Neutral3.616.328 $+3.616.328 $1
iSHARES TRUST→ 03.291.305 $+3.291.305 $1
FIDELITY MERRIMACK STR TR→ 02.614.205 $+2.614.205 $1
FIRST TRUST EXCHANGE-TRADED FUND VI→ 02.494.152 $+2.494.152 $1
MICROSOFT CORPMSFT→ 0Neutral2.440.989 $+2.440.989 $1
AMAZON COM INCAMZN→ 0Stark2.033.194 $+2.033.194 $1
NVIDIA CORPNVDA→ 0Neutral1.889.143 $+1.889.143 $1
SPDR GOLD TRUSTGLD→ 01.770.938 $+1.770.938 $1
ADVISORS MANAGEMENT GROUP INC /ADV→ 01.680.796 $+1.680.796 $1
Broadcom Inc.AVGO→ 0Stark1.518.741 $+1.518.741 $1
SELECT SECTOR SPDR TRUST→ 01.437.141 $+1.437.141 $1
COSTCO WHOLESALE CORP /NEWCOST→ 0Stark1.257.381 $+1.257.381 $1
ISHARES TR→ 01.236.600 $-2.543.600 $
-67,3 %
1
Fidelity Greenwood Street Trust→ 01.178.244 $+1.178.244 $1
GE Vernova Inc.GEV→ 0Stark1.166.063 $+1.166.063 $1
BERKSHIRE HATHAWAY INCBRK-B→ 0Neutral1.123.506 $+1.123.506 $1
Fidelity Wise Origin Bitcoin FundFBTC→ 01.118.939 $+1.118.939 $1
MAI Capital Management→ 01.027.621 $+1.027.621 $1
JPMORGAN CHASE & COJPM→ 0Neutral973.907 $+973.907 $1
GLOBAL X FDS→ 0972.567 $+738.826 $
+316,1 %
1
Ancora Advisors LLC→ 0937.922 $+937.922 $1
Sequent Asset Management, LLC→ 0884.355 $+884.355 $1
PNC FINANCIAL SERVICES GROUP, INC.PNC→ 0Stark826.601 $+826.601 $1
Global X Funds→ 0817.065 $+817.065 $1
NORTHERN LTS FD TR IV→ 0805.813 $-166.754 $
-17,1 %
1
abrdn Gold ETF TrustSGOL→ 0743.435 $+743.435 $1
VISA INC.V→ 0Stark716.823 $+716.823 $1
ISHARES GOLD TRUSTIAU→ 0700.239 $+700.239 $1
MICRON TECHNOLOGY INCMU→ 0Sehr stark681.657 $+681.657 $1
STERLING INFRASTRUCTURE, INC.STRL→ 0Neutral647.986 $+647.986 $1
Meta Platforms, Inc.META→ 0Neutral636.898 $+636.898 $1
JOHNSON & JOHNSONJNJ→ 0Neutral615.200 $+615.200 $1
AbbVie Inc.ABBV→ 0Neutral576.596 $+576.596 $1
INVESCO QQQ TRUST, SERIES 1QQQ→ 0564.201 $+564.201 $1
VANGUARD WHITEHALL FDS→ 0558.684 $+300.542 $
+116,4 %
1
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSM→ 0Sehr stark556.349 $+556.349 $1
CHEVRON CORPCVX→ 0Sehr stark553.928 $+553.928 $1
CATERPILLAR INCCAT→ 0Sehr stark548.942 $+548.942 $1
Seagate Technology Holdings plcSTX→ 0Stark542.997 $+542.997 $1
Rocket Lab CorpRKLB→ 0Sehr schwach533.650 $+533.650 $1
WELLTOWER INC.WELL→ 0Neutral501.789 $+501.789 $1
Lumentum Holdings Inc.LITE→ 0Neutral482.230 $+482.230 $1
CAPITAL ONE FINANCIAL CORPCOF→ 0Neutral447.913 $+447.913 $1
BOEING COBA→ 0Schwach441.599 $+441.599 $1
Tesla, Inc.TSLA→ 0Schwach439.678 $+439.678 $1
Merck & Co., Inc.MRK→ 0Neutral433.509 $+433.509 $1
NOVARTIS AGNVS→ 0Sehr stark432.934 $+432.934 $1
ELI LILLY & CoLLY→ 0Neutral417.298 $+417.298 $1
Cencora, Inc.COR→ 0Neutral395.874 $+395.874 $1
Palantir Technologies Inc.PLTR→ 0Neutral372.154 $+372.154 $1
BlackRock Fund Advisors→ 0370.446 $+370.446 $1
Sprott Physical Silver TrustPSLV→ 0368.309 $+368.309 $1
Capital Group Dividend Value ETF→ 0367.602 $+367.602 $1
Walmart Inc.WMT→ 0Stark366.603 $+366.603 $1
UBS AGAMUB→ 0366.033 $+366.033 $1
SPACE EXPLORATION TECHNOLOGIES CORPSPCX→ 0362.121 $+362.121 $1
PROCTER & GAMBLE CoPG→ 0Neutral352.862 $+352.862 $1
ADVANCED MICRO DEVICES INCAMD→ 0Neutral341.846 $+341.846 $1
Redwire CorpRDW→ 0Schwach337.548 $+337.548 $1
ANALOG DEVICES INCADI→ 0Stark330.245 $+330.245 $1
BANK OF AMERICA CORP /DE/BAC→ 0Neutral328.489 $+328.489 $1
Woodward, Inc.WWD→ 0Stark315.692 $+315.692 $1
UNITEDHEALTH GROUP INCUNH→ 0Neutral312.504 $+312.504 $1
LINDE PLCLIN→ 0Stark308.449 $+308.449 $1
FIRST TRUST EXCHANGE-TRADED FUND IV→ 0279.449 $+279.449 $1
MCDONALDS CORPMCD→ 0Neutral274.820 $+274.820 $1
Capital Group Core Equity ETF→ 0272.939 $+272.939 $1
Marvell Technology, Inc.MRVL→ 0Stark267.903 $+267.903 $1
EXCHANGE TRADED CONCEPTS, LLC→ 0263.621 $+263.621 $1
COHEN & STEERS QUALITY INCOME REALTY FUND INCRQI→ 0258.904 $+258.904 $1
LATTICE STRATEGIES TR→ 0258.142 $-2.356.063 $
-90,1 %
1
WELLS FARGO & COMPANY/MNWFC→ 0Schwach255.876 $+255.876 $1
Datadog, Inc.DDOG→ 0Neutral255.501 $+255.501 $1
STARBUCKS CORPSBUX→ 0Schwach255.362 $+255.362 $1
AppLovin CorpAPP→ 0Neutral243.594 $+243.594 $1
EMERSON ELECTRIC COEMR→ 0Stark240.975 $+240.975 $1
KLA CORPKLAC→ 0Stark239.908 $+239.908 $1
Chicago Atlantic Real Estate Finance, Inc.REFI→ 0Stark233.889 $+233.889 $1
MAIN SECTOR→ 0233.741 $+233.430 $
+75.057,9 %
1
COCA COLA COKO→ 0Neutral222.691 $+222.691 $1
FASTENAL COFAST→ 0Stark222.480 $+222.480 $1
CITIGROUP INCC→ 0Neutral218.784 $+218.784 $1
INTEL CORPINTC→ 0Neutral217.848 $+217.848 $1
SCHWAB STRATEGIC TRUST→ 0217.651 $+217.651 $1
STATE STREET CORPSTT→ 0Stark216.515 $+216.515 $1
ABBOTT LABORATORIESABT→ 0Neutral210.577 $+210.577 $1
CrowdStrike Holdings, Inc.CRWD→ 0Neutral210.516 $+210.516 $1
ASML HOLDING NVASML→ 0Sehr stark209.011 $+209.011 $1
Capital Group Global Growth Equity ETF→ 0208.889 $+208.889 $1
FabrinetFN→ 0Neutral207.970 $+207.970 $1
iShares Silver TrustSLV→ 0204.517 $+204.517 $1
LOWES COMPANIES INCLOW→ 0Neutral203.800 $+203.800 $1
UWM Holdings CorpUWMC→ 0Schwach31.153 $+31.153 $1
Xerox Holdings CorpXRX→ 0Neutral2.915 $+2.915 $1
COHEN & STEERS QUALITY INCOM→ 0311 $-558.373 $
-99,9 %
1
94.935.727 $+81.653.565 $
+8.401,4 %
100
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