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Portfolio-Diff

Simplex Trading, Llc

Q1 2026 ⇄ Q2 2026

+150Hinzugefügt
−150Entfernt
200Angepasst
3Unverändert

Hinzugefügt (Q2 2026)

WertpapierWertAktien
MU MICRON TECHNOLOGY INC $60.81M52.68K
DRAM ROUNDHILL ETF TRUST $46.20M625.56K
SOXL DIREXION SHARES ETF… $36.85M138.15K
COIN COINBASE GLOBAL INC $18.93M129.50K
QCOM QUALCOMM INC $17.37M93.99K
IBM INTERNATIONAL… $16.15M57.43K
NOK NOKIA CORP $14.37M1.08M
GE GE AEROSPACE $13.90M37.19K
HUT HUT 8 CORP $12.59M109.02K
TMUS T-MOBILE US INC $10.86M64.75K
XLU SELECT SECTOR SPDR TR $10.58M233.43K
COST COSTCO WHOLESALE… $10.44M11.16K
KRE SPDR SERIES TRUST $10.43M139.29K
TTWO TAKE-TWO INTERACTIVE… $10.03M40.14K
DIA STATE STR SPDR DOW… $8.56M16.39K
ABT ABBOTT LABORATORIES $8.32M91.70K
KEEL KEEL INFRASTRUCTURE… $7.84M1.37M
BIDU BAIDU INC $7.29M63.80K
FSLR FIRST SOLAR INC $6.59M27.93K
HOOD ROBINHOOD MKTS INC $6.46M64.45K
NET CLOUDFLARE INC $5.99M24.41K
UAL UNITED AIRLS HLDGS INC $5.96M43.85K
ABNB AIRBNB INC $5.84M40.83K
BMY BRISTOL-MYERS SQUIBB… $5.77M100.19K
NASA TEMA ETF TRUST $5.64M185.61K
DASH DOORDASH INC $5.41M29.30K
OKLO OKLO INC $5.39M103.03K
F FORD MTR CO $5.33M383.46K
DVN DEVON ENERGY CORP NEW $5.30M128.16K
GWW WW GRAINGER INC $4.95M3.64K
TWLO TWILIO INC $4.91M23.82K
AXSM AXSOME THERAPEUTICS… $4.81M19.64K
NIO NIO INC $4.59M907.76K
XLP SELECT SECTOR SPDR TR $4.54M54.60K
EWJ ISHARES INC $4.49M48.13K
CRL CHARLES RIV LABS INTL… $4.35M19.20K
PAA PLAINS ALL AMERN… $4.34M194.80K
AMKR AMKOR TECHNOLOGY INC $4.23M49.05K
BMNR BITMINE IMMERSION… $4.14M311.23K
CRM SALESFORCE INC $4.10M26.18K
XONA.DE EXXON MOBIL CORP $3.84M28.06K
TGT TARGET CORP $3.78M28.91K
POWL POWELL INDS INC $3.71M12.96K
ALNY ALNYLAM… $3.48M11.57K
ON ON SEMICONDUCTOR CORP $3.47M36.69K
CARR CARRIER GLOBAL… $3.44M46.85K
KR KROGER CO $3.44M61.87K
MTUM ISHARES TR $3.42M9.97K
JNJ JOHNSON & JOHNSON $3.40M13.40K
VGT VANGUARD WORLD FD $3.38M28.29K
ELV ELEVANCE HEALTH INC… $3.25M8.41K
PWR QUANTA SVCS INC $3.24M4.50K
FI FISERV INC $3.20M65.34K
SLV ISHARES SILVER TR $3.20M59.82K
RCL ROYAL CARIBBEAN GROUP $3.07M9.67K
SANM SANMINA CORP $2.95M11.67K
SKY CHAMPION HOMES INC $2.94M33.36K
TENB TENABLE HLDGS INC $2.90M78.69K
KHC KRAFT HEINZ CO $2.85M120.48K
BHE BENCHMARK ELECTRS INC $2.85M28.84K
WPM WHEATON PRECIOUS… $2.80M24.95K
RMD RESMED INC $2.75M14.09K
SGHC SUPER GROUP SGHC… $2.68M198.07K
IHI ISHARES TR $2.68M54.19K
MNST MONSTER BEVERAGE CORP… $2.65M27.57K
TEAM ATLASSIAN CORPORATION $2.65M34.02K
MKSI MKS INC. $2.64M5.93K
CB CHUBB LIMITED $2.47M7.25K
TNA DIREXION SHARES ETF… $2.43M32.41K
ISRG INTUITIVE SURGICAL INC $2.42M6.09K
WMT WALMART INC $2.40M21.22K
RBRK RUBRIK INC. $2.35M29.28K
INFQ INFLEQTION INC $2.35M176.24K
MOV MOVADO GROUP INC $2.34M59.42K
FRMI FERMI INC $2.31M252.61K
CF CF INDUSTRIES HOLD $2.31M21.32K
DHT DHT HOLDINGS INC $2.30M139.37K
CIEN CIENA CORP $2.29M4.66K
MUU DIREXION SHARES ETF… $2.25M2.15K
ASND ASCENDIS PHARMA A/S $2.21M8.28K
JBS JBS N.V. $2.15M181.60K
MFC MANULIFE FINL CORP $2.05M50.64K
BBY BEST BUY INC $1.99M26.24K
TXG 10X GENOMICS INC $1.99M51.81K
REGN REGENERON… $1.98M3.17K
OGN ORGANON & CO $1.97M145.38K
IQV IQVIA HLDGS INC $1.96M10.13K
TE T1 ENERGY INC $1.92M203.03K
ONON ON HLDG AG $1.92M54.32K
VG VENTURE GLOBAL INC $1.92M172.39K
ICE INTERCONTINENTAL… $1.91M15.52K
EWT ISHARES INC $1.91M17.56K
TPX SOMNIGROUP… $1.90M24.26K
XYL XYLEM INC $1.88M15.89K
NTAP NETAPP INC $1.87M12.08K
DUK DUKE ENERGY CORP NEW $1.85M14.61K
VRT VERTIV HOLDINGS CO $1.83M5.46K
VOYA VOYA FINANCIAL INC $1.81M20.00K
ABBV ABBVIE INC $1.81M7.17K
LEU CENTRUS ENERGY CORP $1.80M10.73K
NWL NEWELL BRANDS INC $1.71M278.47K
GIS GENERAL MILLS INC $1.70M48.97K
MTD METTLER TOLEDO… $1.70M1.33K
PINS PINTEREST INC $1.65M78.39K
HIMS HIMS & HERS HEALTH INC $1.62M46.86K
CL COLGATE PALMOLIVE CO $1.62M17.72K
GO GROCERY OUTLET HLDG… $1.62M162.45K
SCHW SCHWAB CHARLES CORP $1.61M17.45K
SCO PROSHARES TR II $1.59M45.50K
BROS DUTCH BROS INC $1.55M21.60K
VECO VEECO INSTRS INC DEL $1.52M20.08K
LYFT LYFT INC $1.51M103.12K
CAG CONAGRA BRANDS INC $1.47M109.35K
FOXA FOX CORP $1.47M28.12K
CTSH COGNIZANT TECHNOLOGY… $1.46M37.72K
FEZ SPDR INDEX SHS FDS $1.46M21.27K
HPE HEWLETT PACKARD… $1.43M31.67K
EXPE EXPEDIA GROUP INC $1.41M5.52K
QYLD GLOBAL X FDS $1.41M76.24K
NTR NUTRIEN LTD $1.40M22.27K
TIGO MILLICOM INTL… $1.38M15.26K
MCK MCKESSON CORP $1.38M1.83K
MXL MAXLINEAR INC $1.38M10.76K
VXUS VANGUARD STAR FDS $1.37M15.97K
TXRH TEXAS ROADHOUSE INC $1.36M7.04K
TBT PROSHARES TR $1.35M38.53K
SYF SYNCHRONY FINANCIAL $1.34M17.61K
VXX BARCLAYS BANK PLC $1.32M59.94K
GHC GRAHAM CORP $1.30M10.52K
TRIP TRIPADVISOR INC $1.30M94.82K
GDXJ VANECK ETF TRUST $1.27M12.89K
GENI GENIUS SPORTS LIMITED $1.27M208.78K
PGY PAGAYA TECHNOLOGIES… $1.25M68.64K
SO SOUTHERN CO $1.25M13.08K
ATI ATI INC $1.22M6.20K
GNRC GENERAC HLDGS INC $1.21M4.14K
XTL SPDR SERIES TRUST $1.20M5.28K
SVM SILVERCORP METALS INC $1.19M118.28K
AMCR AMCOR PLC $1.10M25.43K
BILL BILL HOLDINGS INC $1.08M29.74K
MTCH MATCH GROUP INC NEW $1.07M28.15K
CG CARLYLE GROUP INC $1.07M25.41K
SMTC SEMTECH CORP $1.06M6.56K
CIBR FIRST TR… $1.04M11.63K
KLAR KLARNA GROUP PLC $1.03M51.03K
CR CRANE COMPANY $1.02M4.59K
SOLV SOLVENTUM CORP $984,58812.76K
AJG GALLAGHER ARTHUR J &… $969,9334.22K
SLM SLM CORP $963,69637.15K
NOVT NOVANTA INC $937,7475.78K

Entfernt (wurde gehalten in Q1 2026)

WertpapierWert damalsAktien damals
SMH VANECK ETF TRUST $35.92M93.70K
INTC INTEL CORP $33.44M757.72K
SLB SLB LIMITED $28.12M547.13K
LQD ISHARES TR $22.69M208.17K
XLB SELECT SECTOR SPDR TR $18.45M369.22K
NFLX NETFLIX INC. $17.78M184.87K
XLF SELECT SECTOR SPDR TR $17.56M355.73K
NVO NOVO-NORDISK A S $14.44M392.80K
UNP UNION PAC CORP $13.10M54.00K
MS MORGAN STANLEY $12.03M73.07K
BABA ALIBABA GROUP HLDG LTD $8.37M66.72K
IREN IREN LIMITED $7.12M207.84K
DAL DELTA AIR LINES INC $6.53M98.26K
ETHA ISHARES ETHEREUM TR $6.22M392.69K
MSTR STRATEGY INC $5.73M45.92K
FXI ISHARES TR $5.71M159.01K
IEF ISHARES TR $4.83M50.66K
LULU LULULEMON ATHLETICA… $4.83M31.54K
PRMB PRIMO BRANDS… $4.63M246.09K
UPS UNITED PARCEL SVCS INC $4.24M43.12K
FHN FIRST HORIZON… $4.23M185.83K
ITB ISHARES TR $3.91M43.13K
RTX RTX CORPORATION $3.44M17.83K
LRCX LAM RESEARCH CORP $3.44M16.08K
CRWV COREWEAVE INC $3.40M43.90K
NU NU HLDGS LTD $3.37M234.51K
INTU INTUIT $3.36M7.77K
SNOW SNOWFLAKE INC $3.31M21.97K
FTI TECHNIPFMC PLC $3.22M46.62K
ADBE ADOBE INC $3.05M12.53K
EWY ISHARES INC $3.02M24.56K
ROK ROCKWELL AUTOMATION… $2.99M8.32K
BNO UNITED STS BRENT OIL… $2.95M56.81K
MUB ISHARES TR $2.94M27.68K
CRCL CIRCLE INTERNET GROUP… $2.72M28.46K
MTDR MATADOR RES CO $2.69M42.62K
BCHHF BITFARMS LTD $2.58M1.32M
MCD MCDONALDS CORP $2.48M7.99K
ROIV ROIVANT SCIENCES LTD $2.44M88.03K
TCOM TRIP COM GROUP LTD $2.39M48.07K
FDX FEDEX CORP $2.36M6.62K
AME AMETEK INC $2.34M10.91K
O REALTY INCOME CORP $2.31M37.81K
APD AIR PRODUCTS AND… $2.31M7.96K
HL HECLA MINING COMPANY $2.21M118.50K
QXO QXO INC $2.20M113.18K
XYZ BLOCK INC $2.19M36.37K
RY ROYAL BK CDA $2.00M12.37K
SOC SABLE OFFSHORE CORP $1.92M116.51K
SPXS DIREXION SHARES ETF… $1.88M46.47K
USB US BANCORP $1.84M35.32K
WHR WHIRLPOOL CORP $1.79M33.28K
FAS DIREXION SHARES ETF… $1.79M15.12K
INSM INSMED INC $1.75M10.71K
SPHR SPHERE ENTERTAINMENT… $1.75M14.89K
CEG CONSTELLATION ENERGY… $1.75M6.26K
BLDR BUILDERS FIRSTSOURCE… $1.63M19.77K
NYT NEW YORK TIMES CO MTN… $1.58M18.88K
NXT NEXTPOWER INC $1.58M13.10K
BBAI BIGBEAR AI HLDGS INC $1.55M440.41K
PCG PG&E CORP $1.55M88.16K
IRM IRON MTN INC DEL $1.51M14.80K
DELL DELL TECHNOLOGIES INC $1.49M9.10K
HSBC HSBC HLDGS PLC $1.48M17.99K
CMPS COMPASS PATHWAYS PLC $1.48M267.46K
PPG PPG INDS INC $1.46M13.62K
STNG SCORPIO TANKERS INC $1.39M18.56K
DAWN DAY ONE… $1.38M64.46K
AXP AMERICAN EXPRESS CO $1.38M4.56K
MMYT MAKEMYTRIP LIMITED… $1.37M36.71K
CSX CSX CORP $1.35M32.95K
IONQ IONQ INC $1.34M46.56K
HYG ISHARES TR $1.34M16.80K
XLI SELECT SECTOR SPDR TR $1.31M8.07K
AGIO AGIOS PHARMACEUTICALS… $1.27M37.46K
NGS NATURAL GAS SVCS… $1.26M33.35K
YANG DIREXION SHARES ETF… $1.25M42.81K
UAN CVR PARTNERS LP/CVR… $1.24M9.76K
TRMD TORM PLC $1.23M44.16K
VNOM VIPER ENERGY INC $1.18M25.15K
RKT ROCKET COS INC $1.17M82.17K
XRT SPDR SERIES TRUST $1.15M14.30K
FSLY FASTLY INC $1.14M39.35K
BITO PROSHARES TR $1.08M116.30K
NOC NORTHROP GRUMMAN CORP $1.05M1.54K
HYMC HYCROFT MINING… $1.02M29.12K
BMO BANK MONTREAL MEDIUM $1.01M7.49K
SSREF SSR MINING IN $1.01M34.21K
ARKK ARK ETF TR $1.00M14.83K
EBAY EBAY INC. $986,20110.84K
COUR COURSERA INC $970,938166.83K
ACI ALBERTSONS COS INC $967,08856.75K
BWA BORGWARNER INC $943,25517.38K
TREX TREX INC $924,04825.37K
ASC ARDMORE SHIPPING CORP $923,86060.58K
ETHE GRAYSCALE ETHEREUM… $915,22553.62K
CME CME GROUP INC $904,0663.06K
TSN TYSON FOODS INC $897,94114.02K
BSM BLACK STONE MINERALS… $895,66359.24K
EXC EXELON CORP $873,48717.82K
TM TOYOTA MOTOR CORP $871,9664.23K
BF-B BROWN FORMAN CORP $859,35232.50K
VLY VALLEY NATL BANCORP $855,53569.67K
CPRI CAPRI HOLDINGS LIMITED $840,50947.70K
YINN DIREXION SHARES ETF… $831,83125.35K
AMLP ALPS ETF TR $823,13115.64K
SKM SK TELECOM CO LTD $814,93527.82K
JBLU JETBLUE AIRWAYS CORP $810,681183.41K
CRBG COREBRIDGE FINL INC $806,22933.79K
REPL REPLIMUNE GROUP INC $802,293104.88K
CART MAPLEBEAR INC $798,01021.30K
VSTS VESTIS CORPORATION $785,44999.93K
ACHC ACADIA HEALTHCARE… $782,62933.46K
CVX CHEVRON CORPORATION $775,8753.75K
PAYO PAYONEER GLOBAL INC $772,350159.91K
DX DYNEX CAP INC $733,47057.48K
TALK TALKSPACE INC $702,325135.72K
COP CONOCOPHILLIPS $701,5805.32K
WFRD WEATHERFORD INTL PLC $700,3647.41K
AXS AXIS CAP HLDGS LTD $695,8756.86K
TPC TUTOR PERINI CORP $695,0959.01K
PTCT PTC THERAPEUTICS INC $693,56310.18K
ANDE ANDERSONS INC $691,8159.64K
INVH INVITATION HOMES INC $663,76826.71K
SKE SKEENA RES LTD NEW $657,88122.14K
ERO ERO COPPER CORP $654,24124.53K
ISSC INNOVATIVE SOLUTIONS… $651,27331.72K
WDS WOODSIDE ENERGY GROUP… $649,15327.18K
CSIQ CANADIAN SOLAR INC $644,62046.54K
BAM BROOKFIELD ASSET… $642,88014.46K
NTNX NUTANIX INC $633,51216.67K
VRTX VERTEX… $625,6021.40K
VNQ VANGUARD INDEX FDS $625,0687.05K
HST HOST HOTELS & RESORTS… $623,84932.56K
SLNO SOLENO THERAPEUTICS… $608,19718.17K
CAVA CAVA GROUP INC $605,7797.49K
RIOT RIOT PLATFORMS INC $604,82448.93K
NGG NATIONAL GRID PLC $600,9137.10K
OPFI OPPFI INC $591,42676.71K
ALLY ALLY FINL INC $584,13414.89K
RYAAY RYANAIR HOLDINGS PLC $574,6479.94K
PENN PENN ENTERTAINMENT INC $573,00338.12K
CHKP CHECK POINT SOFTWARE… $570,1143.99K
WAB WABTEC $568,0452.27K
EAT BRINKER INTL INC $564,9403.96K
HSIC SCHEIN HENRY INC $563,2897.64K
ETHU VOLATILITY SHS TR $555,77724.87K
CLMT CALUMET INC $540,68915.06K
HAL HALLIBURTON CO $539,42613.84K
PRAX PRAXIS PRECISION… $534,8351.66K

Angepasste Positionen

WertpapierQ1 2026 AnteileQ2 2026 AnteileÄnderung
WT WISDOMTREE INC 2 30.68K +1533700.0%
NABL N-ABLE INC 34 89.47K +263061.8%
ADNT ADIENT PLC 2 4.16K +208000.0%
FCEL FUELCELL ENERGY INC 87 138.05K +158582.8%
LNTH LANTHEUS HLDGS INC 3 3.47K +115500.0%
PEY INVESCO EXCHANGE TRADED… 1 1.15K +114900.0%
ITRN ITURAN LOCATION AND… 35 38.44K +109714.3%
CXT CRANE NXT CO 7 7.33K +104600.0%
SLF SUN LIFE FINANCIAL INC. 7 7.26K +103614.3%
BAND BANDWIDTH INC 66 44.86K +67869.7%
AIS TIDAL TRUST III 13 7.06K +54184.6%
CDNS CADENCE DESIGN SYSTEM… 11 4.84K +43900.0%
QBTS D-WAVE QUANTUM INC 302 122.30K +40397.4%
JXI ISHARES TR 8 2.72K +33900.0%
MANH MANHATTAN ASSOCIATES INC 2 626 +31200.0%
KLAC KLA CORP 459 123.04K +26707.0%
PENG PENGUIN SOLUTIONS INC 256 50.07K +19460.2%
DTCX DATACENTREX INC 153 29.38K +19100.0%
CHDN CHURCHILL DOWNS INC 52 9.38K +17948.1%
SB SAFE BULKERS INC 97 14.64K +14995.9%
PYXS PYXIS ONCOLOGY INC 253 37.90K +14881.0%
INTW GRANITESHARES ETF TR 137 19.99K +14493.4%
BRR PROCAP FINL INC 2.19K 303.41K +13766.8%
VSH VISHAY INTERTECHNOLOGY… 887 121.07K +13549.7%
ALK ALASKA AIR GROUP INC 589 69.89K +11766.0%
TMQ TRILOGY METALS INC NEW 42 4.67K +11028.6%
MC MOELIS & CO 39 3.88K +9848.7%
FC FRANKLIN COVEY CO 14 1.30K +9200.0%
ASO ACADEMY SPORTS &… 264 23.62K +8848.9%
RFL RAFAEL HLDGS INC 137 12.08K +8719.0%
ACLS AXCELIS TECHNOLOGIES INC 19 1.52K +7910.5%
INGR INGREDION INC 13 975 +7400.0%
LOPE GRAND CANYON ED INC 19 1.39K +7200.0%
MSM MSC INDL DIRECT INC 62 4.41K +7006.5%
QLYS QUALYS INC 96 6.56K +6736.5%
TJX TJX COS INC NEW 299 19.85K +6537.5%
GEF GREIF INC 59 3.84K +6408.5%
ORA ORMAT TECHNOLOGIES INC 273 17.11K +6167.0%
POWI POWER INTEGRATIONS INC 328 20.47K +6139.9%
PLNT PLANET FITNESS MASTER… 369 21.71K +5783.2%
BCSF BAIN CAP SPECIALTY FIN… 5 292 +5740.0%
BW BABCOCK & WILCOX… 228 13.09K +5642.1%
GHRS GH RESEARCH PLC 83 4.74K +5609.6%
WDFC WD 40 CO 5 283 +5560.0%
BDC BELDEN INC 187 9.64K +5055.1%
FOXF FOX FACTORY HLDG CORP 106 5.45K +5036.8%
SEZL SEZZLE INC 250 12.63K +4954.0%
IDR IDAHO STRATEGIC… 539 23.70K +4296.7%
FLS FLOWSERVE CORP 86 3.71K +4215.1%
ENLV ENLIVEX LTD 2.62K 111.41K +4160.3%
VFC V F CORP 557 22.97K +4023.5%
BIP BROOKFIELD… 116 4.78K +4022.4%
LTPZ PIMCO ETF TR 59 2.43K +4020.3%
RDVT RED VIOLET INC 214 8.58K +3908.4%
BLZE BACKBLAZE INC 1.75K 69.59K +3878.9%
GTM ZOOMINFO TECHNOLOGIES… 4.27K 161.97K +3695.9%
VTIP VANGUARD MALVERN FDS 35 1.32K +3671.4%
LWLG LIGHTWAVE LOGIC INC 2.06K 75.12K +3541.2%
LAUR LAUREATE ED INC 108 3.92K +3529.6%
PNR PENTAIR PLC 66 2.31K +3400.0%
AXGN AXOGEN INC 85 2.95K +3367.1%
IWM ISHARES TR 16.23K 536.81K +3207.7%
REAX THE REAL BROKERAGE INC 1.86K 61.31K +3192.9%
IJR ISHARES TR 117 3.85K +3189.7%
ATHM AUTOHOME INC 284 9.30K +3173.9%
NEOV NEOVOLTA INC 772 23.72K +2972.7%
APOG APOGEE ENTERPRISES INC 162 4.89K +2918.5%
LTH LIFE TIME GROUP… 370 10.95K +2860.5%
BWEN BROADWIND INC 3.93K 113.08K +2777.4%
FHTX FOGHORN THERAPEUTICS INC 66 1.89K +2766.7%
RKLB ROCKET LAB CORP 1.16K 32.87K +2746.1%
NAIL DIREXION SHARES ETF… 1.32K 36.62K +2674.2%
JKHY HENRY JACK & ASSOC INC 56 1.54K +2653.6%
NUKZ EXCHANGE TRADED… 531 14.52K +2634.7%
DPST DIREXION SHARES ETF… 109 2.93K +2589.9%
WW WW INTL INC 798 21.30K +2568.8%
MEI METHODE ELECTRS INC 4.01K 105.19K +2523.9%
DPZ DOMINOS PIZZA INC 85 2.15K +2432.9%
RWT REDWOOD TRUST INC 1.31K 33.10K +2431.0%
LMND LEMONADE INC 1.04K 25.96K +2398.6%
HUBB HUBBELL INC 262 6.49K +2377.1%
VERA VERA THERAPEUTICS INC 191 4.71K +2364.4%
OCUL OCULAR THERAPEUTIX INC 5.55K 136.26K +2352.9%
TITN TITAN MACHY INC 136 3.31K +2336.0%
CTAS CINTAS CORP 327 7.85K +2299.7%
INV INNVENTURE INC 514 12.00K +2235.4%
USAR USA RARE EARTH INC 8.22K 187.41K +2179.4%
MX MAGNACHIP SEMICONDUCTOR… 147 3.23K +2093.9%
LTRN LANTERN PHARMA INC 107 2.34K +2084.1%
HACK AMPLIFY ETF TR 203 4.40K +2069.5%
SPG SIMON PPTY GROUP INC NEW 868 18.68K +2051.7%
ACA ARCOSA INC 13 274 +2007.7%
NVT NVENT ELEC PLC 597 12.50K +1993.5%
GETY GETTY IMAGES HOLDINGS… 7.26K 151.61K +1988.0%
BIOA BIOAGE LABS INC 2.32K 47.28K +1936.2%
BKNG BOOKING HOLDINGS INC 3.34K 67.55K +1922.5%
OSPN ONESPAN INC 1.39K 27.85K +1897.8%
KTCC KEY TRONIC CORP 217 4.31K +1887.1%
LOW LOWES COS INC 2.99K 56.50K +1791.4%
MFH CHAINCE DIGITAL… 54 1.01K +1763.0%
CRI CARTERS INC 20 344 +1620.0%
TWST TWIST BIOSCIENCE CORP 473 8.08K +1607.8%
FBP FIRST BANCORP… 4 67 +1575.0%
GPN GLOBAL PMTS INC 2.34K 38.75K +1553.9%
WNC WABASH NATL CORP 1.89K 29.96K +1484.1%
TSCO TRACTOR SUPPLY CO 4.53K 70.94K +1466.5%
BG BUNGE GLOBAL SA 1.37K 21.38K +1456.1%
TEVA TEVA PHARMACEUTICAL… 11.31K 174.41K +1441.4%
AVGX TIDAL TRUST II 358 5.46K +1424.0%
COLL COLLEGIUM… 259 3.92K +1412.0%
IIIN INSTEEL INDS INC 1.27K 19.06K +1401.7%
ASTH ASTRANA HEALTH INC 917 13.65K +1388.3%
GTIM GOOD TIMES RESTAURANTS… 53 780 +1371.7%
RMAX RE/MAX HLDGS INC 97 1.43K +1370.1%
MVLL GRANITESHARES ETF TR 1.43K 20.79K +1356.6%
ZYME ZYMEWORKS INC 1.34K 19.43K +1354.4%
TREE LENDINGTREE INC 482 6.96K +1342.9%
LZM LIFEZONE METALS LIMITED 1.32K 18.96K +1334.1%
VLN VALENS SEMICONDUCTOR LTD 4.90K 70.05K +1328.5%
AVR ANTERIS TECHNOLOGIES… 1.44K 20.27K +1306.6%

Roher Aktienanzahlvergleich zwischen den beiden ausgewählten Quartalen (wie gemeldet; Splits zwischen weit auseinanderliegenden Quartalen werden hier nicht angepasst — die Quartalswechsel-Tabs auf der Manager-Seite sind splitbereinigt). Ausschließlich Common-Stock-Positionen mit zugeordneten Tickern.

Herkunft: Beide Momentaufnahmen stammen aus den geparsten 13F-Informationstabellen des Managers (jeweils zuletzt akzeptierte Versionen). ← Zurück zum Manager-Datensatz