Investments: NI ACQUISITIONS COMPANY, LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: NI ACQUISITIONS COMPANY, 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
92.330.024 $+44.056.629 $
+2.233,0 %
77
VANGUARD TAX-MANAGED FDS→ 031.533.398 $+31.287.259 $
+12.711,2 %
1
JAMES INVESTMENT RESEARCH, INC.→ 012.894.875 $+12.894.875 $1
VANGUARD SPECIALIZED FUNDS→ 010.032.451 $+4.774.760 $
+90,8 %
1
COZAD ASSET MANAGEMENT INC→ 08.921.546 $+8.921.546 $1
FIRST TR EXCHANGE-TRADED FD→ 05.811.612 $-4.220.839 $
-42,1 %
1
FIRST TR EXCHNG TRADED FD VI→ 05.257.691 $+4.300.654 $
+449,4 %
1
VANGUARD GROUP INC→ 01.701.340 $+1.701.340 $1
FIRST TRUST EXCHANGE-TRADED FUND IV→ 01.650.066 $+1.650.066 $1
ISHARES TR→ 0957.037 $+710.358 $
+288,0 %
1
FIRST TRUST EXCHANGE-TRADED FUND VIII→ 0623.839 $+623.839 $1
iSHARES TRUST→ 0607.043 $+607.043 $1
S&T BANCORP INCSTBA→ 0Neutral553.039 $+553.039 $1
Apple Inc.AAPL→ 0Neutral550.838 $+550.838 $1
Merck & Co., Inc.MRK→ 0Sehr stark513.861 $+513.861 $1
FIRST TRUST PORTFOLIOS LP→ 0486.739 $+486.739 $1
SELECT SECTOR SPDR TRUST→ 0391.047 $+391.047 $1
CATERPILLAR INCCAT→ 0Sehr stark286.692 $+286.692 $1
SEI Exchange Traded Funds→ 0264.001 $+264.001 $1
Meta Platforms, Inc.META→ 0Neutral256.098 $+256.098 $1
VANGUARD MUN BD FDS→ 0246.679 $-31.286.719 $
-99,2 %
1
Seagate Technology Holdings plcSTX→ 0Stark246.679 $+246.679 $1
VANGUARD STAR FDS→ 0246.139 $+246.139 $1
NUCOR CORPNUE→ 0Neutral246.139 $+246.139 $1
SCHWAB STRATEGIC TRUST→ 0236.308 $+236.308 $1
Walmart Inc.WMT→ 0Stark225.954 $+225.954 $1
CISCO SYSTEMS, INC.CSCO→ 0Stark218.476 $+218.476 $1
LOCKHEED MARTIN CORPLMT→ 0Sehr stark215.502 $+215.502 $1
PEPSICO INCPEP→ 0Stark214.927 $+214.927 $1
Tesla, Inc.TSLA→ 0Neutral214.927 $+214.927 $1
VERIZON COMMUNICATIONS INCVZ→ 0Sehr stark212.293 $+212.293 $1
MICROSOFT CORPMSFT→ 0Neutral212.293 $+212.293 $1
PPL CorpPPL→ 0Neutral212.030 $+212.030 $1
FULTON FINANCIAL CORPFULT→ 0Stark211.009 $+211.009 $1
JOHNSON & JOHNSONJNJ→ 0Stark189.716 $+189.716 $1
PNC FINANCIAL SERVICES GROUP, INC.PNC→ 0Stark189.716 $+189.716 $1
Sandisk CorpSNDK→ 0Stark188.720 $+188.720 $1
AT&T INC.T→ 0Sehr stark175.433 $+175.433 $1
Dimensional ETF Trust→ 0173.777 $+173.777 $1
PROCTER & GAMBLE CoPG→ 0Neutral173.622 $+173.622 $1
WESTERN DIGITAL CORPWDC→ 0Stark173.093 $+173.093 $1
UNITEDHEALTH GROUP INCUNH→ 0Neutral170.824 $+170.824 $1
VALERO ENERGY CORP/TXVLO→ 0Stark165.379 $+165.379 $1
EXXON MOBIL CORPXOM→ 0Stark164.474 $+164.474 $1
COCA COLA COKO→ 0Stark163.759 $+163.759 $1
M&T BANK CORPMTB→ 0Stark147.804 $+147.804 $1
LINDE PLCLIN→ 0Stark147.379 $+147.379 $1
INVESCO QQQ TRUST, SERIES 1QQQ→ 0147.280 $+147.280 $1
GENERAL ELECTRIC COGE→ 0Neutral141.270 $+141.270 $1
Marvell Technology, Inc.MRVL→ 0Neutral137.327 $+137.327 $1
FIRST TRUST EXCHANGE-TRADED FUND→ 0132.808 $+132.808 $1
NVIDIA CORPNVDA→ 0Neutral127.257 $+127.257 $1
PRUDENTIAL FINANCIAL INCPRU→ 0Sehr stark123.688 $+123.688 $1
Coca-Cola Consolidated, Inc.COKE→ 0Stark122.185 $+122.185 $1
GE Vernova Inc.GEV→ 0Sehr stark122.185 $+122.185 $1
SMITH SHELLNUT WILSON LLC /ADV→ 0121.283 $+121.283 $1
MAXIMUS, INC.MMS→ 0Stark121.283 $+121.283 $1
AMAZON COM INCAMZN→ 0Neutral120.838 $+120.838 $1
TORONTO DOMINION BANKTD→ 0120.216 $+120.216 $1
JPMORGAN CHASE & COJPM→ 0Neutral119.050 $+119.050 $1
CrowdStrike Holdings, Inc.CRWD→ 0Neutral119.050 $+119.050 $1
Alphabet Inc.GOOGL→ 0Stark116.384 $+116.384 $1
HOME DEPOT, INC.HD→ 0Neutral116.384 $+116.384 $1
AMEREN CORPAEE→ 0Stark116.092 $+116.092 $1
MCDONALDS CORPMCD→ 0Stark115.422 $+115.422 $1
FIRST TRUST EXCHANGE-TRADED FUND II→ 0115.422 $+115.422 $1
Ancora Advisors LLC→ 0113.133 $+113.133 $1
MICRON TECHNOLOGY INCMU→ 0Stark113.120 $+113.120 $1
AbbVie Inc.ABBV→ 0Neutral113.090 $+113.090 $1
UNITED PARCEL SERVICE INCUPS→ 0Neutral113.090 $+113.090 $1
VANGUARD WORLD FUND→ 0110.078 $+110.078 $1
D L CARLSON INVESTMENT GROUP INC→ 0109.777 $+109.777 $1
PPG INDUSTRIES INCPPG→ 0Stark108.433 $+108.433 $1
CORNING INC /NYGLW→ 0Stark107.000 $+107.000 $1
CHEVRON CORPCVX→ 0Sehr stark106.364 $+106.364 $1
AAON, INC.AAON→ 0Schwach101.869 $+101.869 $1
YUM BRANDS INCYUM→ 0Neutral101.191 $+101.191 $1
Eaton Corp plcETN→ 0Neutral101.191 $+101.191 $1
92.330.024 $+44.056.629 $
+2.233,0 %
77
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