Investments: CAMPBELL CAPITAL MANAGEMENT INC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: CAMPBELL CAPITAL MANAGEMENT INC
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
278.760.721 $+64.524.812 $
+13,2 %
37209.147.000 $-1.961.865 $
+14,4 %
31295.296.289 $+61.268.826 $
+17,2 %
45259.686.428 $+43.249.798 $
+9,1 %
45
Alphabet Inc.GOOGL→ 0Stark56.051.854 $+10.535.854 $
+23,1 %
145.516.000 $-4.231.310 $
-8,5 %
149.747.310 $+11.186.774 $
+29,0 %
138.560.536 $+9.548.291 $
+32,9 %
1
Apple Inc.AAPL→ 0Neutral42.840.070 $+5.040.070 $
+13,3 %
137.800.000 $-2.759.640 $
-6,8 %
140.559.640 $+2.624.579 $
+6,9 %
137.935.061 $+5.790.233 $
+18,0 %
1
MICRON TECHNOLOGY INCMU→ 0Stark30.241.488 $+17.955.488 $
+146,1 %
112.286.000 $+6.435.065 $
+110,0 %
15.850.935 $-391.607 $
-6,3 %
16.242.542 $+6.242.542 $1
MICROSOFT CORPMSFT→ 0Neutral18.682.851 $+142.851 $
+0,8 %
118.540.000 $-5.810.361 $
-23,9 %
124.350.361 $-1.686.468 $
-6,5 %
126.036.829 $+154.458 $
+0,6 %
1
Meta Platforms, Inc.META→ 0Neutral11.716.488 $-33.512 $
-0,3 %
111.750.000 $-1.792.695 $
-13,2 %
113.542.695 $-767.495 $
-5,4 %
114.310.190 $-515.137 $
-3,5 %
1
Broadcom Inc.AVGO→ 0Neutral12.993.121 $+4.209.121 $
+47,9 %
18.784.000 $+1.342.850 $
+18,0 %
17.441.150 $+7.441.150 $1
KKR & Co. Inc.KKR→ 0Schwach11.830.174 $-287.725 $
-2,4 %
112.117.899 $-535.445 $
-4,2 %
1
DICK'S SPORTING GOODS, INC.DKS→ 0Neutral7.032.724 $+865.724 $
+14,0 %
16.167.000 $-3.851.862 $
-38,4 %
110.018.862 $-1.266.160 $
-11,2 %
111.285.022 $+855.387 $
+8,2 %
1
Vistra Corp.VST→ 0Schwach10.118.249 $+1.500.249 $
+17,4 %
18.618.000 $-617.711 $
-6,7 %
19.235.711 $-1.954.402 $
-17,5 %
111.190.113 $+11.932 $
+0,1 %
1
Dell Technologies Inc.DELL→ 0Stark10.094.143 $+1.612.477 $
+19,0 %
18.481.666 $+1.058.170 $
+14,3 %
1
AMAZON COM INCAMZN→ 0Neutral9.929.876 $+776.003 $
+8,5 %
19.153.873 $+1.093.484 $
+13,6 %
1
Toast, Inc.TOST→ 0Neutral7.634.810 $+322.810 $
+4,4 %
17.312.000 $-2.499.946 $
-25,5 %
19.811.946 $+9.811.946 $1
NETFLIX INCNFLX→ 0Stark6.462.414 $-2.384.586 $
-27,0 %
18.847.000 $+4.309.016 $
+95,0 %
14.537.984 $+4.537.984 $1
CAPITAL ONE FINANCIAL CORPCOF→ 0Neutral8.728.522 $+1.083.596 $
+14,2 %
17.644.926 $-14.796 $
-0,2 %
1
ISHARES TR→ 01.816.000 $-6.586.225 $
-78,4 %
18.402.225 $+176.918 $
+2,2 %
1
INTUIT INC.INTU→ 0Neutral7.951.125 $+1.940.069 $
+32,3 %
1
SELECT SECTOR SPDR TRUST→ 07.775.861 $+2.600.861 $
+50,3 %
15.175.000 $+2.885.454 $
+126,0 %
12.289.546 $+2.289.546 $1
CHEVRON CORPCVX→ 0Sehr stark3.315.200 $-3.866.758 $
-53,8 %
17.181.958 $+5.532.535 $
+335,4 %
11.649.423 $-5.354.194 $
-76,4 %
1
KIMBERLY CLARK CORPKMB→ 0Sehr stark7.164.602 $+7.164.602 $1
Nu Holdings Ltd.NU→ 0Neutral6.919.678 $+1.381.678 $
+24,9 %
15.538.000 $-946.909 $
-14,6 %
16.484.909 $+301.207 $
+4,9 %
16.183.702 $+3.357.382 $
+118,8 %
1
AMERICAN EXPRESS COAXP→ 0Neutral6.611.096 $+6.611.096 $1
GE HealthCare Technologies Inc.GEHC→ 0Stark6.558.037 $+512.487 $
+8,5 %
16.045.550 $+6.045.550 $1
EXPAND ENERGY CorpEXE→ 0Stark6.455.431 $+6.455.431 $1
SPDR GOLD TRUSTGLD→ 05.774.356 $-540.644 $
-8,6 %
16.315.000 $+3.808.339 $
+151,9 %
12.506.661 $+2.506.661 $1
NVIDIA CORPNVDA→ 0Neutral5.562.584 $+5.562.584 $1
Uber Technologies, IncUBER→ 0Neutral3.923.224 $-1.450.333 $
-27,0 %
15.373.557 $+2.570.172 $
+91,7 %
1
ASML HOLDING NVASML→ 0Sehr stark5.186.058 $+1.579.803 $
+43,8 %
1
LENNAR CORP /NEW/LEN→ 0Neutral5.077.723 $+654.982 $
+14,8 %
1
AES CORPAES→ 0Neutral4.904.663 $+191.663 $
+4,1 %
14.713.000 $+4.713.000 $1
Marvell Technology, Inc.MRVL→ 0Neutral4.627.129 $+4.627.129 $1
Norwegian Cruise Line Holdings Ltd.NCLH→ 0Neutral4.433.100 $+2.189.100 $
+97,6 %
12.244.000 $+2.244.000 $1
TWILIO INCTWLO→ 0Neutral4.399.910 $+784.159 $
+21,7 %
13.615.751 $+3.615.751 $1
CELESTICA INCCLS→ 0Schwach3.852.288 $+3.852.288 $1
ServiceNow, Inc.NOW→ 0Neutral3.606.093 $+3.606.093 $1
COCA COLA COKO→ 0Stark3.042.470 $+195.470 $
+6,9 %
12.847.000 $+215.827 $
+8,2 %
12.631.173 $+136.575 $
+5,5 %
12.494.598 $-230.308 $
-8,5 %
1
Nuveen Preferred & Income Opportunities FundJPC→ 02.824.419 $-65.390 $
-2,3 %
12.889.809 $-166.114 $
-5,4 %
1
INVESCO QQQ TRUST, SERIES 1QQQ→ 02.628.762 $-33.313 $
-1,3 %
12.662.075 $+227.136 $
+9,3 %
1
Pacer Funds Trust→ 02.058.202 $-422.749 $
-17,0 %
12.480.951 $+602.174 $
+32,1 %
11.878.777 $+475.291 $
+33,9 %
1
AMERIPRISE FINANCIAL INCAMP→ 0Stark2.444.000 $+1.496.663 $
+158,0 %
1947.337 $+947.337 $1
Energy Transfer LPET→ 0439.760 $-1.940.240 $
-81,5 %
12.380.000 $+300.611 $
+14,5 %
12.079.389 $+809.549 $
+63,8 %
11.269.840 $+91.390 $
+7,8 %
1
NASDAQ, INC.NDAQ→ 0Neutral2.379.685 $+2.379.685 $1
FS KKR Capital CorpFSK→ 0Stark1.615.425 $+49.425 $
+3,2 %
11.566.000 $-756.949 $
-32,6 %
12.322.949 $-41.217 $
-1,7 %
12.364.166 $-3.152.222 $
-57,1 %
1
WEC ENERGY GROUP, INC.WEC→ 0Sehr stark2.288.692 $+19.692 $
+0,9 %
12.269.000 $+181.947 $
+8,7 %
12.087.053 $-204.747 $
-8,9 %
12.291.800 $+416.200 $
+22,2 %
1
Reddit, Inc.RDDT→ 0Schwach1.695.356 $+391.356 $
+30,0 %
11.304.000 $-970.564 $
-42,7 %
12.274.564 $+1.263.758 $
+125,0 %
11.010.806 $-2.912.295 $
-74,2 %
1
SHOPIFY INC.SHOP→ 0Neutral2.209.383 $+2.209.383 $1
Merck & Co., Inc.MRK→ 0Sehr stark1.866.184 $+1.866.184 $1
BERKSHIRE HATHAWAY INCBRK-B→ 0Neutral1.570.724 $+66.724 $
+4,4 %
11.504.000 $-78.845 $
-5,0 %
11.582.845 $-283 $
-0,0 %
11.583.128 $+53.438 $
+3,5 %
1
WATSCO INCWSO→ 0Stark1.556.555 $+1.556.555 $1
CAMPBELL CAPITAL MANAGEMENT INC→ 01.269.631 $-76.970 $
-5,7 %
1
Evolv Technologies Holdings, Inc.EVLV→ 0Neutral1.151.880 $+425.880 $
+58,7 %
1726.000 $+726.000 $1
Hess Midstream LPHESM→ 0Stark1.128.150 $-1.635 $
-0,1 %
11.129.785 $+1.129.785 $1
Phillips 66PSX→ 0Stark903.280 $+903.280 $1
Cantor Equity Partners II, Inc.CEPT→ 0712.199 $+712.199 $1
HOME DEPOT, INC.HD→ 0Neutral618.248 $+41.248 $
+7,1 %
1577.000 $-26.207 $
-4,3 %
1603.207 $-107.091 $
-15,1 %
1710.298 $+67.578 $
+10,5 %
1
Accenture plcACN→ 0Neutral665.384 $+665.384 $1
Eaton Vance California Municipal Bond Fund→ 0580.494 $+34.867 $
+6,4 %
1
STRYKER CORPSYK→ 0Neutral409.292 $-17.708 $
-4,1 %
1427.000 $-29.911 $
-6,5 %
1456.911 $-23.660 $
-4,9 %
1480.571 $-33.748 $
-6,6 %
1
VANGUARD WORLD FUND→ 0477.124 $+129.124 $
+37,1 %
1348.000 $-28.136 $
-7,5 %
1376.136 $+3.568 $
+1,0 %
1372.568 $+157.002 $
+72,8 %
1
JOHNSON & JOHNSONJNJ→ 0Stark457.146 $+17.146 $
+3,9 %
1440.000 $+67.490 $
+18,1 %
1372.510 $+38.754 $
+11,6 %
1333.756 $+58.806 $
+21,4 %
1
ONESPAWORLD HOLDINGS LtdOSW→ 0Neutral414.800 $+414.800 $1
LOWES COMPANIES INCLOW→ 0Neutral352.784 $-25.216 $
-6,7 %
1378.000 $-7.856 $
-2,0 %
1385.856 $-16.240 $
-4,0 %
1402.096 $+47.104 $
+13,3 %
1
Rocket Companies, Inc.RKT→ 0Schwach314.000 $+314.000 $1
BOEING COBA→ 0Neutral312.090 $-6.605 $
-2,1 %
1
RESMED INCRMD→ 0Stark218.984 $+12.584 $
+6,1 %
1
TKO Group Holdings, Inc.TKO→ 0Neutral201.310 $-690 $
-0,3 %
1202.000 $-7.000 $
-3,3 %
1209.000 $+7.040 $
+3,5 %
1201.960 $+201.960 $1
AUTOMATIC DATA PROCESSING INCADP→ 0Neutral206.624 $-10.490 $
-4,8 %
1
Sharplink, Inc.SBET→ 0Sehr schwach190.512 $+190.512 $1
Braemar Hotels & Resorts Inc.BHR→ 0Stark86.100 $-27.634 $
-24,3 %
1
Ondas Inc.ONDS→ 0Sehr schwach82.400 $+82.400 $1
278.760.721 $+64.524.812 $
+13,2 %
37209.147.000 $-1.961.865 $
+14,4 %
31295.296.289 $+61.268.826 $
+17,2 %
45259.686.428 $+43.249.798 $
+9,1 %
45
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