Investing Insights: Comparing Greenwood Gearhart Inc's Q3 2022 and Q4 2022 Holdings
Ava Hoppe | 29 April, 2023
It's essential to keep up to date with the changing trends in the investment world. One way to monitor these changes is by analyzing the 13F filings of institutional investors. Recently, Greenwood Gearhart Inc released its Q3 2022 and Q4 2022 13F filings, detailing the changes in its holdings. In this blog post, we will compare the holdings of Greenwood Gearhart Inc in Q3 2022 and Q4 2022, and provide some insights on the trends that emerged.
First, let's understand what 13F filings are. 13F filings are reports that institutional investment managers, such as hedge funds, mutual funds, and pension funds, with assets under management of $100 million or more, are required to file with the Securities and Exchange Commission (SEC). These reports are filed quarterly and disclose the institutional investor's holdings of publicly-traded companies.
In the Q4 2022 13F filing, Greenwood Gearhart Inc disclosed a total of 54 holdings, which is five more than in the previous quarter. The total value of its holdings increased from $392,102,000 in Q3 2022 to $407,253,000 in Q4 2022, a growth of 3.86%.
One notable change in the portfolio was the 9.19% increase in the number of shares of Apple Inc, from 243,057 to 248,292 shares. However, the value of these shares decreased by 4%, from $33,592,000 in Q3 2022 to $32,262,000 in Q4 2022. On the other hand, the number of shares of Microsoft Corp increased from 120,078 to 123,961, a 3.23% increase. The value of these shares also grew by 6.3% from $27,967,000 in Q3 2022 to $29,728,000 in Q4 2022.
Another significant change was the 31.2% reduction in the iShares Semiconductor ETF shares. The number of shares decreased from 42,748 to 26,948, and the value of these shares decreased by 37.2% to $9,377,000 from $14,926,000 in Q3 2022. Meanwhile, the holdings of JP Morgan Ultra-short Income ETF increased from $21,909,000 to $22,778,000. The number of shares held increased from 436,785 to 454,388 in Q4 2022.
The biggest percentage increase in holdings was in Deere & Co. The number of shares increased by 1.51%, while the value increased by a whopping 30.3%. Similarly, Merck & Co. Inc holdings increased by 0.5% in Q4 2022, but the value increased by 28.2%.
One new addition to Greenwood Gearhart Inc's portfolio in Q4 2022 was ASML Holding, amounting to 13,255 shares, which had a value of $7,242,000.
In conclusion, these changes in Greenwood Gearhart Inc's portfolio highlight some emerging trends in the investment world. The increase in Apple's holdings could be due to the declining value of its shares over the past few months. The decrease in iShares Semiconductor ETF holdings suggests a shift in focus from semiconductor companies. Although different shares might achieve different results, it's essential to keep up with these changes to make informed investment decisions.
Other Posts
- Montage Partners: Recognized as a Founder-Friendly Investor for the Third Year in a Row
- Segment Wealth Management, LLC Q1 2023 vs. Q2 2023:
- Litman Gregory Wealth Management's Q3 2022 Holdings: Increased bullishness on S&P 500, decreased confidence in managed futures strategies
- McCollum Christoferson Group LLC Q3 2023 vs. Q4 2023 13F Holdings Comparison
- Lgt Capital Partners Ltd. Q1 2023 vs. Q2 2023 13F Holdings Comparison
- Investment Strategies: Analyzing Prospector Partners' Updated Fund Holdings
- Caprock Group, LLC Q2 2023 vs. Q3 2023 13F Holdings Comparison
- Analyzing Changes in Highlander Capital Management's 13F Holdings for Q3 and Q4 2022
- The Shifts and Trends in Wealth: A Look into Cliftonlarsonallen Wealth Advisors' Q4 2022 vs. Q1 2023 13F Holdings Comparison
- The Rise and Fall of Kiltearn Partners LLP Q3 2022 vs. Q4 2022 13F Holdings