Rench Wealth Management, Inc. Q3 2022 vs. Q4 2022 13F Holdings Comparison
Ava Hoppe | 28 April, 2023
Investing in the stock market is never certain, but keeping track of the changes in holdings of various funds can help predict the direction of the market. In this blog post, we'll examine the Rench Wealth Management, Inc. Q3 2022 vs. Q4 2022 13F Holdings Comparison and what they indicate about the stock market.
The data shows that some companies, such as Apple Inc and Johnson & Johnson, have increased the number of shares held between Q3 and Q4 of 2022. Meanwhile, other companies, such as Verizon and Amazon, have seen a decrease in the number of shares held.
One of the most significant changes is the increase in holdings of Bank America Corp, with a 10.8% increase in shares held between Q3 and Q4 of 2022. On the other hand, Amazon Inc's shares held decreased by 32.5% over the same period.
It's worth noting that some shares have remained relatively stable during this time. CVS Health Corp, for instance, experienced only a 2.3% change in the number of shares held.
In terms of value, Procter and Gamble Co drew attention with a 20.9% increase in Q4 2022 compared to Q3. Kimberly-Clark Corp also saw a 22.1% increase in Q4 2022 compared to Q3 of 2022. Conversely, Alphabet experienced a 17.4% decrease in value over the same period, and Amazon's value decreased by 32.5%.
The changes in holdings of Rench Wealth Management indicate a mixed signal for the stock market. While some large corporations experienced an increase in value, others saw a significant decrease. Nevertheless, the market remains an ever-changing landscape, and it's always essential to keep track of the changes in holdings to manage investments effectively.
Overall, the Rench Wealth Management, Inc. Q3 2022 vs. Q4 2022 13F holdings comparison provides a glimpse into the state of the stock market at this point in time. Investors should take note of the changes in holdings of significant corporations and adjust their investments accordingly. It's vital to remain vigilant in a constantly changing stock market to maximize investments' potential.
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