Kombi Signal — Insider + Institutional

Doppeltes Akkumulations-Signal

Aktien bei denen sowohl Insider kaufen (Form 4) als auch institutionelle Fonds einsteigen (13F). Diese Kombination ist statistisch ein stärkeres Signal als jedes für sich.

Zeitraum

Insider-Käufe: letzte 90 Tage, Open Market, >10.000 $.
Institutional: aktuelles vs. vorheriges Quartal (13F).

AktieTickerInsider-KäufeInsider-Vol. ($)Neue Fonds-Pos.Erhöhte Fonds-Pos.Netto Inst. ($)Signal Score
BERKLEY W R CORPWRB31165.197.108 $2780-15.820.444.377 $3.317
MICROSOFT CORPMSFT11.986.750 $641.360-2.273.299.206.659 $1.424
Palo Alto Networks IncPANW29.999.977 $86481-86.157.276.252 $1.134
Amrize LtdAMRZ114.568.228 $3142-10.245.681.916 $803
Phillips 66PSX260.607 $132230-31.846.776.075 $724
POOL CORPPOOL53.630.972 $4596-11.288.463.671 $705
SEMPRASRE3576.979 $45158-42.857.662.802 $609
BOEING COBA1499.966 $71447-115.369.609.537 $518
ASGN IncASGN141.856.919 $1324-1.477.050.646 $518
Walt Disney CoDIS198.791 $54405-127.838.157.988 $459
BADGER METER INCBMI71.531.499 $1640-3.820.287.580 $392
American Homes 4 RentAMH7317.765 $1638-7.978.663.239 $378
Hamilton Lane INCHLNE64.227.593 $2240-3.914.984.685 $372
FORD MOTOR COF11.934.450 $60258-32.759.663.467 $318
Allegion plcALLE3299.215 $2676-9.549.356.517 $306
CSX CORPCSX11.006.750 $66223-37.516.473.814 $289
WEYERHAEUSER COWY2615.400 $30105-11.522.942.397 $270
TYLER TECHNOLOGIES INCTYL2694.152 $3198-14.562.855.165 $258
TUTOR PERINI CORPTPC62.551.545 $1919-1.925.075.355 $228
INSULET CORPPODD21.529.052 $2489-16.927.629.078 $226
Strategy IncMSTR1249.947 $56144-53.263.179.383 $200
PROCEPT BioRobotics CorpPRCT710.482.943 $1117-1.152.412.476 $196
Aon plcAON11.276.956 $37148-50.560.036.196 $185
TREX CO INCTREX3503.560 $1840-2.971.617.046 $174
TENNANT COTNC61.261.670 $623-819.527.072 $174
HEICO CORPHEI1999.897 $48119-22.874.023.564 $167
STATE STREET CORPSTT1312.475 $40124-26.454.148.604 $164
WILLIS TOWERS WATSON PLCWTW21.064.134 $1962-22.631.183.153 $162
WESBANCO INCWSBC5186.326 $824-1.710.371.734 $160
ZEBRA TECHNOLOGIES CORPZBRA2153.705 $2455-8.695.972.266 $158
HYCROFT MINING HOLDING CORPHYMC626.668.500 $223-497.371.791 $150
Fox CorpFOXA110.632.804 $42108-21.884.448.775 $150
Sibanye Stillwater LtdSBSW52.048.447 $921-1.701.305.196 $150
MESOBLAST LTDMESO2129.986.673 $34-114.290.165 $147
ASBURY AUTOMOTIVE GROUP INCABG52.154.563 $623-3.231.036.863 $145
NASDAQ, INC.NDAQ115.835.040 $33111-39.622.194.655 $144
MCCORMICK & CO INCMKC1105.960 $42100-12.302.798.631 $142
Option Care Health, Inc.OPCH31.091.453 $1333-4.014.642.645 $138
EQUIFAX INCEFX1464.928 $34101-18.551.258.993 $135
MARRIOTT VACATIONS WORLDWIDE CorpVAC3999.636 $1331-1.268.311.981 $132
MGM Resorts InternationalMGM237.223.500 $1945-5.266.140.714 $128
CMS ENERGY CORPCMS1153.398 $3190-15.978.049.816 $121
SONIC AUTOMOTIVE INCSAH54.870.567 $717-661.485.234 $120
FS Credit Opportunities Corp.FSCO3399.552 $1426-10.630.828.476 $120
GLOBAL PAYMENTS INCGPN199.345 $3780-15.243.924.265 $117
GRACO INCGGG199.857 $3284-8.197.968.916 $116
BALL CorpBALL1100.057 $3480-8.408.402.350 $114
VAIL RESORTS INCMTN24.967.927 $1835-5.291.363.037 $106
Solventum CorpSOLV1100.344 $2777-7.026.966.179 $104
QuidelOrtho CorpQDEL4647.731 $1213-1.581.705.979 $100
MID PENN BANCORP INCMPB9183.053 $38-294.186.058 $99
MOLSON COORS BEVERAGE COTAP193.338 $2571-5.071.737.693 $96
Ralliant CorpRAL2182.328 $1532-3.750.230.512 $94
CONDUENT IncCNDT5655.859 $98-174.203.515 $85
HUMANA INCHUM1150.016 $2953-24.551.149.517 $82
Concentrix CorpCNXC296.839 $1620-1.874.642.118 $72
SEACOAST BANKING CORP OF FLORIDASBCF2155.248 $729-1.810.060.605 $72
NVR INCNVR173.695 $1655-13.696.900.696 $71
Sabre CorpSABR224.683.143 $1914-404.382.185 $66
CORCEPT THERAPEUTICS INCCORT23.313.809 $1022-2.182.123.022 $64
GRAPHIC PACKAGING HOLDING COGPK1501.099 $1645-3.788.710.178 $61
FMC CORPFMC1249.938 $2536-1.333.453.563 $61
MYRIAD GENETICS INCMYGN4694.566 $510-461.677.821 $60
VALLEY NATIONAL BANCORPVLY133.613 $1446-3.510.233.144 $60
SCOTTS MIRACLE-GRO COSMG149.504 $1941-1.910.159.574 $60
Lifevantage CorpLFVN4173.074 $77-31.410.639 $56
ALAMO GROUP INCALG2115.609 $818-1.327.499.583 $52
AUDIOEYE INCAEYE4319.142 $85-39.304.277 $52
Organon & Co.OGN1353.080 $1834-1.158.192.438 $52
PATRICK INDUSTRIES INCPATK11.136.821 $1731-3.341.933.013 $48
CONSTELLIUM SECSTM141.242 $2325-1.400.877.976 $48
IPERIONX LtdIPX85.447.458 $42-56.795.974 $48
STAAR SURGICAL COSTAA312.266.545 $59-1.287.476.314 $42
ACCURAY INCARAY3134.675 $95-54.755.591 $42
GRIFFON CORPGFF179.990 $1130-1.767.363.014 $41
DYNEX CAPITAL INCDX124.380 $1525-778.383.962 $40
ONCOLYTICS BIOTECH INCONCY5164.501 $62-1.742.975 $40
EASTERN COEML10345.229 $13-56.549.629 $40
HOME BANCSHARES INCHOMB12.696.210 $1426-3.046.410.313 $40
TRAVELZOOTZOO31.077.000 $85-20.124.141 $39
CVR ENERGY INCCVI316.445.044 $211-2.475.715.854 $39
CAPITAL SOUTHWEST CORPCSWC272.908 $712-277.656.079 $38
SPRUCE POWER HOLDING CORPSPRU18853.958 $11-32.643.999 $36
FULLER H B COFUL1295.104 $1125-2.210.115.854 $36
SpyGlass Pharma, Inc.SGP17221.480.000 $205.723.752 $34
Douglas Emmett IncDEI1997.640 $1022-1.597.296.113 $32
PCB BANCORPPCB8415.771 $04-87.850.208 $32
ORASURE TECHNOLOGIES INCOSUR4321.260 $26-94.608.824 $32
Simply Good Foods CoSMPL1991.480 $1616-1.358.501.479 $32
Absci CorpABSI2434.760 $106-376.806.966 $32
Borr Drilling LtdBORR25.388.800 $610-228.715.062 $32
Northwest Natural Holding CoNWN159.719 $625-1.118.536.013 $31
KALTURA INCKLTR3148.868 $37-41.198.544 $30
CNB FINANCIAL CORP/PACCNE240.494 $510-341.856.897 $30
DONEGAL GROUP INCDGICA3440.508 $45-199.804.527 $27
MANNKIND CORPMNKD1259.000 $1214-912.097.959 $26
Westrock Coffee CoWEST2429.400 $310-59.234.722 $26
MIDDLESEX WATER COMSEX1108.619 $718-585.674.266 $25
VIRCO MFG CORPORATIONVIRC4128.173 $33-30.418.428 $24
OFG BANCORPOFG164.780 $617-1.228.576.897 $23
TSAKOS ENERGY NAVIGATION LTDTEN2998.341 $101-107.257.102 $22
YORK WATER COYORW129.982 $414-237.719.861 $18
NABORS INDUSTRIES LTDNBR1500.747 $99-441.971.024 $18
Orion Group Holdings IncORN149.983 $78-245.490.344 $15
SHOE CARNIVAL INCSCVL1500.030 $39-259.547.375 $12
CHAIN BRIDGE BANCORP INCCBNA239.184 $33-27.739.707 $12
TEXAS CAPITAL BANCSHARES INC/TXTCBI123.652.664 $01-105.870 $12
COLONY BANKCORP INCCBAN110.125 $48-130.183.068 $12
RIVERVIEW BANCORP INCRVSB223.698 $24-47.895.865 $12
JOINT CorpJYNT1130.875 $38-49.773.461 $11
First Internet BancorpINBK119.830 $47-85.523.304 $11
Investar Holding CorpISTR296.338 $23-123.708.207 $10
Senseonics Holdings, Inc.SENS2200.008 $32-32.107.564 $10
Community West BancsharesCWBC122.488 $46-158.452.591 $10
GENERAL AMERICAN INVESTORS CO INCGAM5147.828 $11-1.775.989.252 $10
Rallybio CorpRLYB32.178.668 $30-17.335.784 $9
INVESTORS TITLE COITIC1110.355 $36-189.726.068 $9
Prelude Therapeutics IncPRLD424.999.997 $11-45.270.187 $8
ULTRALIFE CORPULBI41.207.727 $02-18.309.027 $8
Nomadar Corp.NOMA82.050.996 $01-872.723 $8
Cartesian Growth Corp IIICGCT715.150.229 $01-220.534.921 $7
MACH NATURAL RESOURCES LPMNR1999.995 $25-91.572.658 $7
SaverOne 2014 Ltd.SVRE612.661.296.624 $1034.413 $6
PRUDENTIAL FINANCIAL INCPRU267.871 $21-8.182.069 $6
AC Immune SAACIU131.425 $23-15.303.035 $5
Zai Lab LtdZLAB132.733 $14-419.214.769 $5
Meridian CorpMRBK118.415 $14-66.739.498 $5
CULP INCCULP566.695 $01-14.109.469 $5
TRANSACT TECHNOLOGIES INCTACT2351.037 $11-9.916.086 $4
Carlyle Credit Income FundCCIF151.520 $13-8.747.433 $4
Herzfeld Credit Income Fund, IncHERZ4181.677 $10419 $4
Oak Valley BancorpOVLY112.375 $04-58.781.445 $4
Lion Group Holding LtdLGHL248.242 $11-63.271 $4
Jaguar Uranium Corp.JAGU22.012.600 $2045.014 $4
NovaBridge BiosciencesNBP1577.300 $03-82.835.164 $3
Zura Bio LtdZURA112.500.000 $21-130.502.199 $3
TEAM INCTISI3209.160 $01-34.825.647 $3
MARCUS CORPMCS1571.129 $12-209.401.650 $3
OneMedNet CorpONMD2999.999 $10-6.741.696 $2
Nasus Pharma LtdNSRX241.504 $01-14.890 $2
ARMSTRONG WORLD INDUSTRIES INCAWI199.998 $01-114.415.884 $1
Tuniu CorpTOUR112.224 $10-5.296.525 $1
Vital Farms, Inc.VITL198.325 $01-2.431.188 $1
ARCH CAPITAL GROUP LTD.ACGL1498.651 $10-1.266.519 $1
RARE ELEMENT RESOURCES LTDREEMF158.186.604 $106.796 $1
CLEARONE INCCLRO11.750.000 $10-368.931 $1
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