Sektoraufschlüsselung

04
Technology 9,0%
Financials 8,9%
Industrials 5,2%
Healthcare 5,1%
Communication Services 4,7%
Energy 2,4%
Retail 2,3%
Consumer Staples 2,2%
Consumer Discretionary 1,8%
Consumer products 0,7%
Utilities 0,6%
Real Estate 0,1%
Materials 0,1%
Sonstige/Nicht zugeordnet 57,0%

Gesamtportfolio 257 Positionen

05
Typ Serie 8-Quartals-Trend
VOO Vanguard S&P 500 ETF $17.711.087 4,99% 25.787 $2.200.890 Ab ×6
SPYM State Street SPDR Portfolio S&P 500 ETF $11.113.689 3,13% 126.464 $834.449 Ab ×6
VEA Vanguard FTSE Developed Markets ETF $9.379.777 2,64% 131.646 $861.793 Ab ×6
FTCB First Trust Exchange-Traded Fund IV $7.992.254 2,25% 383.230 $2.130.925 Auf ×5
BRK-B (eingereicht als BRKB) Berkshire Hathaway Inc. Class B $7.783.066 2,19% 15.554 $394.281 Auf ×3
DE Deere & Company Common Stock $7.044.009 1,98% 11.105 $1.042.353 Auf ×4
AMAT Applied Materials, Inc. - Common Stock $6.925.326 1,95% 9.579 $3.415.209 Ab ×2
GOOG Alphabet Inc. - Class C Capital Stock $6.366.132 1,79% 18.018 $-389.917 Ab ×1
SDVY First Trust SMID Cap Rising Dividend Achievers ETF $6.258.318 1,76% 145.070 $1.932.179 Auf ×3
SPDW State Street SPDR Portfolio Developed World ex-US ETF $6.017.061 1,70% 119.410 $632.154 Auf ×1
SPAB State Street SPDR Portfolio Aggregate Bond ETF $5.670.989 1,60% 222.217 $-137.775 Ab ×1
JPM JP Morgan Chase & Co. Common Stock $5.554.095 1,56% 16.968 $-93.247 Ab ×1
PM Philip Morris International Inc Common Stock $5.468.329 1,54% 30.227 $788.552 Auf ×1
MSFT Microsoft Corporation - Common Stock $5.107.866 1,44% 13.693 $-173.955 Ab ×1
FVD First Trust Exchange-Traded Fund $4.895.671 1,38% 101.612 $70.343 Ab ×1
AAPL Apple Inc. - Common Stock $4.579.502 1,29% 15.826 $744.349 Auf ×6
FMB First Trust Managed Municipal ETF $4.473.502 1,26% 87.089 $56.266 Ab ×1
XOM Exxon Mobil Corporation Common Stock $4.261.933 1,20% 31.173 $-827.297 Auf ×1
BKNG Booking Holdings Inc. - Common Stock $4.095.628 1,15% 22.978 $863.073 Auf ×6
FTCS First Trust Capital Strength ETF $4.059.900 1,14% 43.227 $23.424 Ab ×2
FMAY First Trust Exchange-Traded Fund VIII $4.029.203 1,14% 71.694 $263.077 Auf ×1
META Meta Platforms, Inc. - Class A Common Stock $3.983.408 1,12% 7.072 $-221.375 Ab ×1
WCMI First Trust WCM International Equity ETF $3.695.179 1,04% 188.819 Auf ×1
FIXD First Trust Smith Opportunistic Fixed Income ETF $3.352.198 0,94% 76.868 $-653.202 Ab ×6
FGD First Trust Exchange-Traded Fund II $3.331.843 0,94% 104.153 $3.105.789 Auf ×1
AMZN Amazon.com, Inc. - Common Stock $3.317.454 0,93% 13.919 $-241.255 Ab ×1
SCHW Charles Schwab Corporation (The) Common Stock $3.316.271 0,93% 35.941 $-515.845 Ab ×1
GD General Dynamics Corporation Common Stock $3.315.629 0,93% 9.360 $-260.401 Ab ×1
V Visa Inc. $3.261.412 0,92% 9.506 $702.598 Auf ×5
LGOV First Trust Exchange-Traded Fund IV $3.175.010 0,89% 148.365 $182.189 Auf ×6
VWO Vanguard FTSE Emerging Markets ETF $3.173.956 0,89% 53.174 $281.111 Ab ×6
ADI Analog Devices, Inc. - Common Stock $3.173.445 0,89% 7.990 $649.744 Auf ×1
FIIG First Trust Intermediate Duration Investment Grade Corporate ETF $3.088.885 0,87% 149.149 $781.293 Auf ×1
SPEM State Street SPDR Portfolio Emerging Markets ETF $3.055.217 0,86% 59.004 $439.083 Auf ×1
FTC First Trust Large Cap Growth AlphaDEX Fund $2.939.570 0,83% 15.170 $584.123 Ab ×6
WFC Wells Fargo & Company Common Stock $2.879.755 0,81% 34.847 $85.717 Ab ×2
BNDX Vanguard Total International Bond ETF $2.591.614 0,73% 53.513 $61.399 Auf ×2
TDIV First Trust NASDAQ Technology Dividend Index Fund $2.499.704 0,70% 21.759 $397.911 Ab ×5
VXF Vanguard Extended Market ETF $2.448.225 0,69% 9.944 $401.193 Ab ×6
BK The Bank of New York Mellon Corporation Common Stock $2.416.508 0,68% 16.711 $15.879 Ab ×1
COP ConocoPhillips Common Stock $2.392.505 0,67% 23.014 $-417.461 Auf ×1
BSV VANGUARD BOND INDEX FUNDS $2.332.335 0,66% 29.936 $-1.188 Auf ×2
GNOV FT Vest U.S. Equity Moderate Buffer ETF - November $2.308.756 0,65% 55.240 $134.575 Ab ×6
UL Unilever PLC American Depositary Shares (each representing One Ordinary Share) $2.214.015 0,62% 36.827 $135.977 Auf ×2
MDT Medtronic plc. Ordinary Shares $2.202.453 0,62% 28.154 $55.564 Auf ×6
BDX Becton, Dickinson and Company Common Stock $2.130.320 0,60% 14.077 $195.381 Auf ×6
NVS Novartis AG Common Stock $2.121.068 0,60% 13.534 $-471.118 Ab ×2
LMBS First Trust Low Duration Opportunities ETF $2.099.906 0,59% 42.184 $-1.287.701 Ab ×1
FTA First Trust Large Cap Value AlphaDEX Fund $2.022.292 0,57% 20.892 $46.660 Ab ×6
XLK SELECT SECTOR SPDR TRUST $2.003.716 0,56% 10.517 $1.016.450 Auf ×6
CASY Caseys General Stores, Inc. - Common Stock $1.964.867 0,55% 2.472 $262.391 Auf ×4
OMC Omnicom Group Inc. Common Stock $1.941.282 0,55% 26.655 $37.466 Auf ×6
FDT First Trust Developed Markets Ex-US AlphaDEX Fund $1.934.288 0,54% 20.430 $134.532 Ab ×2
NVDA NVIDIA Corporation - Common Stock $1.874.755 0,53% 9.370 $426.791 Auf ×6
CMCSA Comcast Corporation - Class A Common Stock $1.853.921 0,52% 75.516 $-297.759 Auf ×6
ACYN FT Vest Laddered Autocallable Barrier & Income ETF $1.848.444 0,52% 88.910 $1.554.198 Auf ×1
ORCL Oracle Corporation Common Stock $1.812.998 0,51% 12.371 $-494.656 Ab ×1
ELV Elevance Health, Inc. Common Stock $1.779.387 0,50% 4.601 $431.252 Ab ×1
FNOV First Trust Exchange-Traded Fund VIII $1.769.673 0,50% 30.256 $104.368 Ab ×6
FDL First Trust Morningstar ETF $1.752.880 0,49% 36.023 $-88.961 Ab ×1
MCK McKesson Corporation Common Stock $1.672.237 0,47% 2.213 $-485.800 Ab ×1
HYLS First Trust Tactical High Yield ETF $1.658.920 0,47% 40.810 $42.595 Auf ×1
CAT Caterpillar, Inc. Common Stock $1.605.284 0,45% 1.507 $676.174 Auf ×6
AON Aon plc Class A Ordinary Shares (Ireland) $1.522.789 0,43% 4.591 Auf ×1
SPYG State Street SPDR Portfolio S&P 500 Growth ETF $1.514.705 0,43% 12.730 $786.548 Auf ×2
AFLG First Trust Exchange-Traded Fund VIII $1.467.834 0,41% 33.805 $150.099 Ab ×3
FTGS First Trust Growth Strength ETF $1.424.195 0,40% 38.489 $139.298 Auf ×6
BUFG First Trust Exchange-Traded Fund VIII $1.411.136 0,40% 48.136 $-9.865 Ab ×2
RTX RTX Corporation Common Stock $1.376.241 0,39% 7.254 $134.369 Auf ×6
TSM Taiwan Semiconductor Manufacturing Company Ltd. $1.371.103 0,39% 2.871 $70.671 Ab ×5
FSIG First Trust Exchange-Traded Fund IV $1.348.842 0,38% 71.538 $-1.175.902 Ab ×1
VMBS Vanguard Mortgage-Backed Securities ETF $1.316.454 0,37% 28.123 $15.517 Auf ×2
SPSM State Street SPDR Portfolio S&P 600 Small Cap ETF $1.293.227 0,36% 22.425 $184.641 Ab ×4
BUFZ First Trust Exchange-Traded Fund VIII $1.288.914 0,36% 46.148 $371.749 Auf ×2
RDVY First Trust Rising Dividend Achievers ETF $1.278.369 0,36% 15.771 $178.704 Ab ×4
AMRZ Amrize Ltd Ordinary Shares $1.253.456 0,35% 23.517 Auf ×1
FFEB First Trust Exchange-Traded Fund VIII $1.238.992 0,35% 20.318 $59.996 Ab ×1
AFL AFLAC Incorporated Common Stock $1.231.360 0,35% 10.502 $79.186
AIRR First Trust RBA American Industrial Renaissance ETF $1.226.566 0,35% 9.205 $406.794 Auf ×3
SPMD State Street SPDR Portfolio S&P 400 Mid Cap ETF $1.222.555 0,34% 18.096 $128.786 Ab ×2
SNY Sanofi - American Depositary Shares $1.206.830 0,34% 28.290 $-182.224 Ab ×1
FSEP First Trust Exchange-Traded Fund VIII $1.194.024 0,34% 21.678 $101.410 Ab ×2
SPTL State Street SPDR Portfolio Long Term Treasury ETF $1.183.795 0,33% 45.131 $-5.780 Ab ×1
AMD Advanced Micro Devices, Inc. - Common Stock $1.166.056 0,33% 2.007 $756.085 Ab ×2
QQQ Invesco QQQ Trust, Series 1 $1.152.461 0,32% 1.565 $250.333 Auf ×2
IVV iShares Trust $1.136.683 0,32% 1.518 $145.640 Auf ×1
JEPI JPMorgan Equity Premium Income ETF $1.123.438 0,32% 19.891 $-73.652 Ab ×6
SPY SPY $1.122.504 0,32% 1.503 $144.957
BIV VANGUARD BOND INDEX FUNDS $1.092.429 0,31% 14.243 $-9.827 Ab ×1
FJAN First Trust Exchange-Traded Fund VIII $1.079.378 0,30% 19.593 $90.838 Ab ×1
AFMC First Trust Exchange-Traded Fund VIII $1.042.056 0,29% 25.428 $319.706 Auf ×3
TMO Thermo Fisher Scientific Inc Common Stock $1.030.796 0,29% 2.056 Auf ×1
LRCX Lam Research Corporation - Common Stock $1.029.997 0,29% 2.377 $494.834 Ab ×1
PEP PepsiCo, Inc. - Common Stock $1.026.721 0,29% 7.583 $-72.697 Auf ×6
BLV VANGUARD BOND INDEX FUNDS $1.019.125 0,29% 14.785 $-5.467 Ab ×1
JNJ Johnson & Johnson Common Stock $1.004.713 0,28% 3.956 $74.775 Auf ×2
FMAR First Trust Exchange-Traded Fund VIII $998.427 0,28% 19.105 $60.824 Ab ×4
BUFR First Trust Exchange-Traded Fund VIII $969.104 0,27% 26.529 $109.860 Auf ×2
TXN Texas Instruments Incorporated - Common Stock $965.687 0,27% 3.240 $340.230 Auf ×1
WMT Walmart Inc. - Common Stock $947.616 0,27% 8.367 $-68.036 Auf ×2

Überzeugungspositionen

08

Positionen seit 3+ aufeinanderfolgenden Quartalen erhöht.

Aktienanzahlen sind wie in 13F-Einreichungen angegeben (nicht split-bereinigt)

WertpapierWert% des PortfoliosSerie
FTCB $7.992.254 2,25% um ×5
BRK-B (eingereicht als BRKB) $7.783.066 2,19% um ×3
DE $7.044.009 1,98% um ×4
SDVY $6.258.318 1,76% um ×3
AAPL $4.579.502 1,29% um ×6
BKNG $4.095.628 1,15% um ×6
V $3.261.412 0,92% um ×5
LGOV $3.175.010 0,89% um ×6
MDT $2.202.453 0,62% um ×6
BDX $2.130.320 0,60% um ×6
XLK $2.003.716 0,56% um ×6
CASY $1.964.867 0,55% um ×4
OMC $1.941.282 0,55% um ×6
NVDA $1.874.755 0,53% um ×6
CMCSA $1.853.921 0,52% um ×6

Größte neue Wetten

09

In diesem Quartal eröffnete neue Positionen, beginnend mit der größten.

WertpapierWertAktien% des Portfolios
WCMI $3.695.179 188.819 1,04%
AON $1.522.789 4.591 0,43%
AMRZ $1.253.456 23.517 0,35%
TMO $1.030.796 2.056 0,29%
ACN $653.664 5.253 0,18%
FTSL $424.805 9.493 0,12%
FEMB $419.392 14.353 0,12%
ICE $356.438 2.895 0,10%
QTEC $278.797 833 0,08%
WEC $236.459 2.025 0,07%
SCHB $231.081 7.979 0,07%
INTC $227.582 1.630 0,06%
STX $223.880 232 0,06%
BUFY $205.850 8.794 0,06%
DOGG $203.842 9.570 0,06%

Top-Performer (QoQ)

10
WertpapierAktionAktien ΔWert Δ
AMAT Reduziert -691 +$3.4M
VOO Reduziert -169 +$2.2M
FTCB Mehr gekauft +104K +$2.1M
SDVY Mehr gekauft +35K +$1.9M
LMBS Reduziert -26K -$1.3M
FSIG Reduziert -62K -$1.2M
DE Mehr gekauft +451 +$1.0M
XLK Mehr gekauft +3K +$1.0M
BAC Reduziert -21K -$967K
BKNG Mehr gekauft +22K +$863K

2 positions hidden — reported move looks larger than the position itself (data completeness check)

Geschlossene Positionen

11

Beinhaltet Unternehmensereignisse (Fusionen, Delistings) – nicht alle Abgänge sind Verkäufe

Geschlossene Positionen spiegeln Änderungen in der 13F-Meldung wider; für Indexmanager sind diese oft mechanisch (Delisting, M&A, Index-Neugewichtung) und keine aktiven Entscheidungen.

WertpapierQuartalAnteile davorWert davorPreis seit Ausstieg
UL (eingereicht als ULXXXX) 31. Dezember 2025 34.279 $2.032.035 -7,0%
KMX 30. Juni 2026 20.241 $841.621 4,5%
TLT 30. Juni 2026 9.428 $817.314
WAT 30. Juni 2026 1.314 $391.309 16,4%
CRM 30. Juni 2026 1.910 $356.581 45,6%
CHKP 30. Juni 2026 2.295 $327.841 0,4%
ADSK 30. Juni 2026 1.325 $317.205 19,0%
FDVV 31. Dezember 2025 4.663 $259.749
ADBE 30. Juni 2026 1.026 $249.400 16,1%
DEO 30. Juni 2026 3.332 $248.096 5,5%
ADP 31. März 2026 960 $247.008 29,1%
MAS 30. Juni 2026 3.877 $234.054 -14,1%
SYK 31. März 2026 665 $233.774 -15,3%
VEEV 31. März 2026 1.008 $225.016 61,4%
FISV 31. Dezember 2025 1.719 $221.631 -32,3%
EIX 30. Juni 2025 3.721 $219.241 4,8%
WMB 30. Juni 2026 3.005 $218.679 -2,6%
WBD 31. Dezember 2025 10.925 $213.365 7,4%
MRK 30. Juni 2025 2.340 $210.038 79,0%
SCHB 31. März 2026 7.958 $208.748 18,2%
GMAR 30. September 2025 5.339 $207.954
UPS 30. September 2025 2.007 $202.587 11,6%
MAR 30. September 2025 740 $202.175 38,8%
FIS 30. September 2025 2.475 $201.524 -49,3%
XIMR 31. März 2026 6.435 $200.708
ECL 31. Dezember 2025 731 $200.314 7,0%
FTRI 30. September 2025 12.153 $172.937
F 30. Juni 2025 10.010 $100.401 13,2%