Opus Investment Management Inc Q3 2022 vs. Q4 2022 13F Holdings Comparison
Ava Hoppe | 14 May, 2023
As an investor, one must always stay updated on the latest changes in the holdings of funds. This allows you to make informed decisions and stay ahead of the game. In this article, we will be looking at the Opus Investment Management Inc Q3 2022 vs. Q4 2022 13F Holdings Comparison.
Opus Investment Management Inc is a reputable investment firm that has been in the business for years. They are known for their exceptional performance and expertise in the investment industry. As an investor, it is imperative to keep up with their holdings and the changes that occur.
VTI is one of the holdings of Opus Investment Management Inc, and it was interesting to see that there was a significant change in the number of shares from Q3 2022 to Q4 2022. The number of shares went from 632,229 in Q3 2022 to 130,688 in Q4 2022, which is a surprising drop of 78%. The value of the shares also decreased, going from $113,466 to $24,986, indicating that Opus Investment Management Inc decided to sell some of their shares.
ITOT, on the other hand, had a staggering percentage increase of 612.5%, going from 41,465 shares in Q3 2022 to 277,090 shares in Q4 2022. The value of the shares also increased from $3,298 to $23,497, making it one of the holdings that experienced a significant increase in Q4 2022.
Another notable holding of Opus Investment Management Inc is ABBV, which decreased by 18.6% in the number of shares. ABBV had 61,700 shares in Q3 2022, which decreased to 41,700 shares in Q4 2022. The value of the shares also decreased from $8,281 to $6,739, indicating a decline in the holdings of ABBV.
In contrast, CMS had a relatively small decrease of 2.4% in the number of shares. It had 80,000 shares in Q3 2022, which decreased to 71,800 shares in Q4 2022. The value of the shares also decreased from $4,659 to $4,547. It is important to note that it could be a strategic decision by Opus Investment Management Inc to decrease their holdings in CMS.
Lastly, Target Corp was no longer included in the holdings of Opus Investment Management Inc in Q4 2022. In Q3 2022, Target Corp had 40,000 shares with a value of $5,936, but in Q4 2022, there were no shares reported. This suggests that Opus Investment Management Inc made a decision to sell all their shares in Target Corp.
In conclusion, it is vital for investors to keep an eye on the holdings and changes made by reputable investment firms such as Opus Investment Management Inc. From this comparison, we can see that Opus Investment Management Inc made strategic decisions in selling shares in some holdings while increasing shares in others. It will be interesting to see how these decisions will affect their overall performance in the future.
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