Investments: Black Swift Group, LLC

Absolutes institutionelles Investment pro Aktie über die letzten 4 Quartale (13F-Daten). — Filter: Black Swift Group, LLC
Hinweis: Das Quartal Q1/2026 ist möglicherweise noch nicht vollständig gemeldet (Einreichungsfrist bis 15.05.2026). Angezeigte QoQ-Veränderungen können daher unvollständig oder verzerrt sein.
Details & Interpretation
Spalten: Investment ($) = Gesamtwert aller institutionellen Positionen in USD. QoQ Veränd. = Differenz zum Vorquartal. Anz. Fonds = Anzahl investierender Fonds.
Klick auf Aktie öffnet den Detail-Report mit allen einzelnen Fondsgesellschaften.
AktieTicker2026/Q12025/Q42025/Q32025/Q2
Investment ($)QoQ ($)QoQ (%)Investment ($)QoQ ($)QoQ (%)Investment ($)QoQ ($)QoQ (%)Investment ($)QoQ ($)QoQ (%)
417.542.871 $-24.986.187 $
+83,8 %
448.540.410 $+34.437.315 $
+202,0 %
436.948.930 $+66.029.004 $
+139,1 %
370.870.287 $+14.737.123 $
+37,4 %
BANK OF AMERICA CORP /DE/BAC295.752.821 $-33.974.971 $
-10,3 %
329.727.792 $-542.549 $
-0,2 %
330.270.341 $+34.223.438 $
+11,6 %
296.046.903 $-24.034.769 $
-7,5 %
BlackRock, Inc.BLK35.918.355 $+503.426 $
+1,4 %
35.414.929 $+2.424.103 $
+7,3 %
32.990.826 $+9.379.167 $
+39,7 %
23.611.659 $+14.161.137 $
+149,8 %
AMAZON COM INCAMZN20.022.036 $-856.787 $
-4,1 %
20.878.823 $+3.110.121 $
+17,5 %
17.768.702 $-1.419.147 $
-7,4 %
19.187.849 $+13.768.483 $
+254,1 %
ALPHA PRO TECH LTDAPT13.361.758 $-715.172 $
-5,1 %
14.076.930 $+5.756.089 $
+69,2 %
8.320.841 $+8.028.147 $
+2.742,8 %
292.694 $+68.466 $
+30,5 %
MERCADOLIBRE INCMELI1.582.053 $-6.375.228 $
-80,1 %
7.957.281 $+5.030.976 $
+171,9 %
NVIDIA CORPNVDA7.211.440 $+5.528.277 $
+328,4 %
1.683.163 $+1.076.778 $
+177,6 %
606.385 $-5.451.584 $
-90,0 %
6.057.969 $+4.344.590 $
+253,6 %
MICROSOFT CORPMSFT6.748.917 $+6.541.737 $
+3.157,5 %
207.180 $-489.194 $
-70,2 %
696.374 $+244.404 $
+54,1 %
JPMORGAN CHASE & COJPM1.644.354 $-3.878.497 $
-70,2 %
5.522.851 $+3.901.541 $
+240,6 %
1.621.310 $-42.773 $
-2,6 %
1.664.083 $+251.400 $
+17,8 %
VERIZON COMMUNICATIONS INCVZ5.200.203 $+5.200.203 $
UNITEDHEALTH GROUP INCUNH4.419.840 $+4.419.840 $
ADVANCED MICRO DEVICES INCAMD4.217.268 $+4.217.268 $
Booking Holdings Inc.BKNG4.210.320 $+4.210.320 $
MORGAN STANLEYMS3.724.784 $-378.790 $
-9,2 %
4.103.574 $+805.504 $
+24,4 %
3.298.070 $-557.711 $
-14,5 %
3.855.781 $-3.397.775 $
-46,8 %
Sandisk CorpSNDK540.039 $-3.386.961 $
-86,2 %
3.927.000 $+3.927.000 $
AeroVironment IncAVAV1.693.230 $-2.195.662 $
-56,5 %
3.888.892 $+312.769 $
+8,7 %
3.576.123 $+3.576.123 $
TECK RESOURCES LTDTECK3.648.375 $+3.648.375 $
FREEPORT-MCMORAN INCFCX3.232.900 $+1.644.490 $
+103,5 %
1.588.410 $-1.334.761 $
-45,7 %
SPS COMMERCE INCSPSC1.290.870 $+993.637 $
+334,3 %
297.233 $-2.925.103 $
-90,8 %
3.222.336 $+3.222.336 $
Vertiv Holdings CoVRT275.638 $-2.818.753 $
-91,1 %
3.094.391 $+2.811.889 $
+995,4 %
282.502 $+282.502 $
PFIZER INCPFE2.847.390 $+2.847.390 $
JABIL INCJBL2.833.149 $+2.833.149 $
BOEING COBA2.786.420 $+1.700.820 $
+156,7 %
1.085.600 $-1.072.700 $
-49,7 %
2.158.300 $+1.110.650 $
+106,0 %
1.047.650 $+20.257 $
+2,0 %
BERKSHIRE HATHAWAY INCBRK-B1.293.840 $-427.736 $
-24,8 %
1.721.576 $-452.775 $
-20,8 %
2.174.351 $-106.339 $
-4,7 %
2.280.690 $-209.122 $
-8,4 %
WESTERN DIGITAL CORPWDC2.153.375 $+2.153.375 $
DECKERS OUTDOOR CORPDECK2.061.400 $+2.061.400 $
TTM TECHNOLOGIES INCTTMI1.977.626 $+252.626 $
+14,6 %
1.725.000 $+1.725.000 $
REALTY INCOME CORPO1.854.978 $+158.805 $
+9,4 %
1.696.173 $-233.302 $
-12,1 %
1.929.475 $+441.409 $
+29,7 %
1.488.066 $+467.380 $
+45,8 %
ARES CAPITAL CORPARCC1.857.510 $+1.585.036 $
+581,7 %
272.474 $-221.626 $
-44,9 %
494.100 $+50.900 $
+11,5 %
EQT CorpEQT763.680 $-1.076.140 $
-58,5 %
1.839.820 $+1.839.820 $
Kraft Heinz CoKHC1.750.915 $+1.750.915 $
URANIUM ENERGY CORPUEC1.734.867 $+1.734.867 $
APPFOLIO INCAPPF1.544.566 $+574.026 $
+59,1 %
970.540 $-271.036 $
-21,8 %
1.241.576 $+200.338 $
+19,2 %
1.041.238 $-346.630 $
-25,0 %
Nu Holdings Ltd.NU1.487.295 $+1.366.975 $
+1.136,1 %
CEMEX SAB DE CVCX1.452.880 $+1.452.880 $
EMERSON ELECTRIC COEMR1.345.575 $+1.345.575 $
FLOWERS FOODS INCFLO1.301.739 $+295.448 $
+29,4 %
1.006.291 $+1.006.291 $
CITIGROUP INCC1.077.395 $-31.160 $
-2,8 %
1.108.555 $+144.305 $
+15,0 %
964.250 $+155.610 $
+19,2 %
808.640 $+121.386 $
+17,7 %
Bloom Energy CorpBE1.090.695 $+1.090.695 $
Valaris LtdVAL1.008.000 $+1.008.000 $
ELI LILLY & CoLLY597.851 $-369.361 $
-38,2 %
967.212 $+223.287 $
+30,0 %
743.925 $-191.511 $
-20,5 %
935.436 $-631.315 $
-40,3 %
INNOVATIVE INDUSTRIAL PROPERTIES INCIIPR763.686 $+203.180 $
+36,2 %
560.506 $-392.950 $
-41,2 %
953.456 $+953.456 $
Perpetual Ltd601.035 $+601.035 $
TYLER TECHNOLOGIES INCTYL256.785 $-197.165 $
-43,4 %
453.950 $-69.210 $
-13,2 %
523.160 $+523.160 $
CHEVRON CORPCVX454.146 $-32.804 $
-6,7 %
486.950 $-9.202 $
-1,9 %
496.152 $+38.660 $
+8,5 %
457.492 $-85.197 $
-15,7 %
MICRON TECHNOLOGY INCMU406.725 $-553.410 $
-57,6 %
GTS SECURITIES LLC381.075 $-1.146.628 $
-75,1 %
Nebius Group N.V.NBIS359.645 $+359.645 $
CAMECO CORPCCJ325.830 $+325.830 $
UNITED THERAPEUTICS CorpUTHR296.490 $+296.490 $
Parker-Hannifin CorpPH246.191 $+4.477 $
+1,9 %
241.714 $+28.674 $
+13,5 %
213.040 $+213.040 $
PALATIN TECHNOLOGIES INCPTNT239.963 $+11.938 $
+5,2 %
228.025 $+228.025 $
417.542.871 $-24.986.187 $
+83,8 %
448.540.410 $+34.437.315 $
+202,0 %
436.948.930 $+66.029.004 $
+139,1 %
370.870.287 $+14.737.123 $
+37,4 %
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