Investments: LANGLEY WEALTH MANAGEMENT, LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: LANGLEY WEALTH MANAGEMENT, LLC
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds. Breite = Veränderung der Halter-Breite (distinct Fonds) über das Fenster — ▲ steigend / ▼ fallend (Interesse = Flow, nicht Kurs). GCS = aktuelles Conviction-Band der Aktie.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTickerBreiteGCS2026/Q2
Investment ($)QoQ ($)QoQ (%)Anz. Fonds
86.593.050 $+86.112.936 $
+96,6 %
107
Capital Group Core Equity ETF→ 04.532.146 $+4.532.146 $1
FIRST TRUST EXCHANGE-TRADED FUND IV→ 04.347.391 $+4.347.391 $1
NVIDIA CORPNVDA→ 0Neutral3.441.124 $+3.441.124 $1
FIRST TRUST EXCHANGE-TRADED FUND VIII→ 03.153.364 $+3.153.364 $1
INVESCO QQQ TRUST, SERIES 1QQQ→ 03.108.536 $+3.108.536 $1
Capital Group Dividend Value ETF→ 02.550.367 $+2.550.367 $1
Apple Inc.AAPL→ 0Neutral2.505.921 $+2.505.921 $1
CATERPILLAR INCCAT→ 0Sehr stark2.280.847 $+2.280.847 $1
Walmart Inc.WMT→ 0Stark2.188.219 $+2.188.219 $1
MICROSOFT CORPMSFT→ 0Neutral2.039.694 $+2.039.694 $1
FIRST TRUST PORTFOLIOS LP→ 02.023.509 $+2.023.509 $1
AMAZON COM INCAMZN→ 0Neutral1.942.471 $+1.942.471 $1
COZAD ASSET MANAGEMENT INC→ 01.817.606 $+1.817.606 $1
Meta Platforms, Inc.META→ 0Neutral1.521.955 $+1.521.955 $1
Moloney Securities Asset Management, LLC→ 01.400.123 $+1.400.123 $1
Capital Group Global Growth Equity ETF→ 01.391.985 $+1.391.985 $1
Merck & Co., Inc.MRK→ 0Sehr stark1.355.117 $+1.355.117 $1
PFIZER INCPFE→ 0Stark1.319.377 $+1.319.377 $1
Alphabet Inc.GOOGL→ 0Stark1.310.771 $+1.310.771 $1
COCA COLA COKO→ 0Stark1.305.697 $+1.305.697 $1
JPMORGAN CHASE & COJPM→ 0Neutral1.243.393 $+1.243.393 $1
BOEING COBA→ 0Neutral1.222.128 $+1.222.128 $1
AbbVie Inc.ABBV→ 0Neutral1.217.201 $+1.217.201 $1
Energy Transfer LPET→ 01.129.863 $+1.129.863 $1
UNITED PARCEL SERVICE INCUPS→ 0Neutral1.108.760 $+1.108.760 $1
Advisors' Inner Circle Fund III→ 01.101.166 $+1.101.166 $1
ALTRIA GROUP, INC.MO→ 0Stark985.739 $+985.739 $1
LIBERTY ALL STAR EQUITY FUNDUSA→ 0895.580 $+895.580 $1
CISCO SYSTEMS, INC.CSCO→ 0Stark888.779 $+888.779 $1
MORGAN STANLEYMS→ 0Neutral867.001 $+867.001 $1
BERKSHIRE HATHAWAY INCBRK-B→ 0Neutral839.654 $+839.654 $1
PROCTER & GAMBLE CoPG→ 0Neutral835.796 $+835.796 $1
CHEVRON CORPCVX→ 0Sehr stark819.411 $+819.411 $1
INTERNATIONAL BUSINESS MACHINES CORPIBM→ 0Schwach801.141 $+801.141 $1
GE Vernova Inc.GEV→ 0Sehr stark797.865 $+797.865 $1
JOHNSON & JOHNSONJNJ→ 0Stark792.323 $+792.323 $1
BANK OF AMERICA CORP /DE/BAC→ 0Neutral701.233 $+701.233 $1
NORFOLK SOUTHERN CORPNSC→ 0Stark687.283 $+687.283 $1
COSTCO WHOLESALE CORP /NEWCOST→ 0Stark679.263 $+679.263 $1
Capital Group International Focus Equity ETF→ 0671.201 $+671.201 $1
AT&T INC.T→ 0Sehr stark670.546 $+670.546 $1
HUNTINGTON BANCSHARES INC /MD/HBAN→ 0Sehr stark660.537 $+660.537 $1
CAPITAL GROUP INTERNATIONAL→ 0649.161 $+446.255 $
+219,9 %
1
RTX CorpRTX→ 0Neutral625.279 $+625.279 $1
EXXON MOBIL CORPXOM→ 0Stark607.301 $+607.301 $1
GENERAL ELECTRIC COGE→ 0Neutral571.566 $+571.566 $1
GENERAL MILLS INCGIS→ 0Stark551.256 $+551.256 $1
WisdomTree, Inc.WT→ 0Stark536.406 $+536.406 $1
SunocoCorp LLCSUNC→ 0Sehr stark534.322 $+534.322 $1
Pacer Funds Trust→ 0517.258 $+517.258 $1
ADVANCED MICRO DEVICES INCAMD→ 0Neutral504.811 $+504.811 $1
Vertiv Holdings CoVRT→ 0Stark484.296 $+484.296 $1
VISA INC.V→ 0Neutral483.010 $+483.010 $1
FIRST TRUST EXCHANGE-TRADED FUND VI→ 0479.051 $+479.051 $1
GOLDMAN SACHS GROUP INCGS→ 0Neutral478.272 $+478.272 $1
LAM RESEARCH CORPLRCX→ 0Stark465.849 $+465.849 $1
Dell Technologies Inc.DELL→ 0Stark450.260 $+450.260 $1
Shell plcSHEL→ 0Stark443.291 $+443.291 $1
AUTOZONE INCAZO→ 0Neutral434.648 $+434.648 $1
NIKE, Inc.NKE→ 0Schwach427.178 $+427.178 $1
Tesla, Inc.TSLA→ 0Neutral407.982 $+407.982 $1
ENTERPRISE PRODUCTS PARTNERS L.P.EPD→ 0389.871 $+389.871 $1
CITIGROUP INCC→ 0Neutral377.589 $+377.589 $1
Broadcom Inc.AVGO→ 0Neutral375.794 $+375.794 $1
SPDR SERIES TRUST→ 0373.391 $+373.391 $1
Ancora Advisors LLC→ 0369.886 $+369.886 $1
AMERICAN EXPRESS COAXP→ 0Neutral367.703 $+367.703 $1
CrowdStrike Holdings, Inc.CRWD→ 0Neutral353.334 $+353.334 $1
Snowflake Inc.SNOW→ 0Schwach348.920 $+348.920 $1
Kraft Heinz CoKHC→ 0Stark345.008 $+345.008 $1
Marvell Technology, Inc.MRVL→ 0Neutral343.169 $+343.169 $1
MICRON TECHNOLOGY INCMU→ 0Stark327.376 $+327.376 $1
iSHARES TRUST→ 0327.096 $+327.096 $1
HONEYWELL INTERNATIONAL INCHON→ 0Neutral315.396 $+315.396 $1
Honeywell Aerospace Inc.HONA→ 0311.066 $+311.066 $1
CLOROX CO /DE/CLX→ 0Stark309.818 $+309.818 $1
ELI LILLY & CoLLY→ 0Neutral306.937 $+306.937 $1
SMITH SHELLNUT WILSON LLC /ADV→ 0306.606 $+306.606 $1
FIDELITY COMWLTH TR→ 0277.208 $+277.208 $1
Salesforce, Inc.CRM→ 0Neutral260.233 $+260.233 $1
Nuveen Quality Municipal Income FundNAD→ 0246.860 $+246.860 $1
Qnity Electronics, Inc.Q→ 0Stark246.066 $+246.066 $1
Blackstone Inc.BX→ 0Neutral246.009 $+246.009 $1
Philip Morris International Inc.PM→ 0Neutral239.960 $+239.960 $1
ONEOK INC /NEW/OKE→ 0Stark236.286 $+236.286 $1
Dutch Bros Inc.BROS→ 0Neutral234.244 $+234.244 $1
GSK plcGSK→ 0234.150 $+234.150 $1
MCKESSON CORPMCK→ 0Neutral230.413 $+230.413 $1
Robinhood Markets, Inc.HOOD→ 0Schwach230.343 $+230.343 $1
Nuveen Municipal Credit Income FundNZF→ 0225.374 $+225.374 $1
AMGEN INCAMGN→ 0Neutral215.886 $+215.886 $1
XPO, Inc.XPO→ 0Neutral214.733 $+214.733 $1
METLIFE INCMET→ 0Stark213.650 $+213.650 $1
JONES LANG LASALLE INCJLL→ 0Neutral212.316 $+212.316 $1
VERIZON COMMUNICATIONS INCVZ→ 0Sehr stark210.981 $+210.981 $1
LOWES COMPANIES INCLOW→ 0Neutral209.315 $+209.315 $1
M/I HOMES, INC.MHO→ 0Neutral205.490 $+205.490 $1
COHERENT CORP.COHR→ 0Neutral203.941 $+203.941 $1
CARILLON SER TR→ 0202.906 $-74.302 $
-26,8 %
1
FEDEX CORPFDX→ 0Sehr stark202.678 $+202.678 $1
iShares Ethereum Trust ETFETHA→ 0182.642 $+182.642 $1
FORD MOTOR COF→ 0Neutral172.030 $+172.030 $1
Redwire CorpRDW→ 0Sehr schwach144.302 $+144.302 $1
RLJ Lodging TrustRLJ→ 0Neutral128.796 $+128.796 $1
ABERDEEN MUNICIPAL INCOME FUNDMFM→ 0112.293 $+112.293 $1
FRANKLIN MANAGED MUNICIPAL INCOME TRUSTPMM→ 0106.981 $+106.981 $1
Rithm Capital Corp.RITM→ 0Neutral94.724 $+94.724 $1
86.593.050 $+86.112.936 $
+96,6 %
107
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