Avaii Wealth Management LLC Has $4.11 Million Stock Position in Apple Inc. (NASDAQ:AAPL)

Avaii Wealth Management LLC Has $4.11 Million Stock Position in Apple Inc. (NASDAQ:AAPL)

  • 20.03.2025 04:16
  • etfdailynews.com
  • Keywords: High Risk

Avaii Wealth Management reduced its stake in Apple by 0.9%, owning 16,413 shares worth $4.11 million, which is about 2% of their portfolio. Analysts have a moderate buy rating with an average target price of $243.65. Apple announced a dividend of $0.25 per share.

Apple Reports

Estimated market influence

Context

Analysis of Avaii Wealth Management LLC's Stock Position in Apple Inc. (NASDAQ:AAPL)

  • Avaii Wealth Management LLC reduced its stake in Apple by 0.9% during Q4, selling 142 shares, leaving it with 16,413 shares worth $4,110,000. Apple represents approximately 2.0% of its portfolio, making it the 17th largest position.

  • Other institutional investors' activities:

    • Passive Capital Management LLC. increased its stake by 52.6%, holding 4,244 shares worth $894,000.
    • Alternative Investment Advisors LLC. acquired a new position worth $1,151,000.
    • Sage Advisors LLC increased its stake by 3.3%, holding 44,403 shares worth $9,352,000.
    • Ashburton Jersey Ltd and Mattson Financial Services LLC each acquired new positions worth $15,855,000 and $7,371,000, respectively.
  • Analyst sentiment: Apple has a consensus rating of "Moderate Buy" with an average target price of $243.65. Notable ratings include:

    • Needham & Company LLC: "Buy" ($260.00)
    • UBS Group: "Hold" ($236.00)
    • Barclays: "Underweight" ($197.00)
    • Goldman Sachs Group: "Buy"
    • Argus: "Strong-Buy"
  • Earnings performance: Apple reported EPS of $2.40 for the latest quarter, exceeding expectations by $0.04. It has a net margin of 24.30% and a return on equity of 160.83%. Analysts predict EPS of **7.28 for the current fiscal year.

  • Dividend announcement: Apple declared a quarterly dividend of $0.25, paid on February 13, with an annualized yield of 0.47% and a payout ratio of 15.87%.

  • Company profile: Apple designs, manufactures, and markets smartphones (iPhone), personal computers (Mac), tablets (iPad), wearables, and accessories globally.

Key Takeaways:

  • Mixed investor sentiment: While some hedge funds are reducing positions, others are increasing theirs.
  • Strong earnings and high net margin indicate sustained profitability.
  • Analysts remain cautiously optimistic with a "Moderate Buy" rating.
  • Dividend payments provide income appeal for investors.