Slow Capital Inc. Has $22.04 Million Position in Apple Inc. (NASDAQ:AAPL)

Slow Capital Inc. Has $22.04 Million Position in Apple Inc. (NASDAQ:AAPL)

  • 22.03.2025 07:38
  • etfdailynews.com
  • Keywords: Apple, Stock Market, Investment, Dividend

Slow Capital Inc. reduced its Apple holdings by 3.7%, owning $22 million worth of shares. Analysts have mixed ratings for Apple stock, with a "Moderate Buy" consensus and an average target price of $243.65. The company also announced a quarterly dividend of $0.25 per share.

Apple Reports

Estimated market influence

Slow Capital Inc.

Positivesentiment_satisfied
Analyst rating: N/A

Decreased their position in Apple by 3.7% in the fourth quarter, sold 3,339 shares.

AMF Tjanstepension AB

Positivesentiment_satisfied
Analyst rating: N/A

Increased holdings by 21.1%, purchased additional 588,427 shares.

Czech National Bank

Positivesentiment_satisfied
Analyst rating: N/A

Increased position by 12.8%, bought 350,505 shares.

Curated Wealth Partners LLC

Positivesentiment_satisfied
Analyst rating: N/A

Increased holdings by 5.8%, purchased additional 2,913 shares.

Arkansas Financial Group Inc.

Positivesentiment_satisfied
Analyst rating: N/A

Increased stake by 46.8%, acquired an additional 2,187 shares.

Quent Capital LLC

Positivesentiment_satisfied
Analyst rating: N/A

Increased stake by 6.6%, acquired additional 8,483 shares.

Context

Analysis and Summary: Slow Capital Inc.'s Position in Apple Inc. (NASDAQ:AAPL)

Key Facts and Data Points

  • Slow Capital Inc.'s Position:

    • Reduced holdings by 3.7% in the fourth quarter.
    • Sold 3,339 shares, ending with 88,014 shares.
    • Total value of Apple holdings: $22,040,000.
    • Apple accounts for 3.1% of Slow Capital’s portfolio, ranking as its 7th largest holding.
  • Other Investors' Actions:

    • AMF Tjanstepension AB: Increased holdings by 21.1%, now owning 3,380,064 shares worth $787,631,000.
    • Czech National Bank: Increased position by 12.8%, holding 3,097,244 shares valued at $721,658,000.
    • Curated Wealth Partners LLC: Increased holdings by 5.8%, now owning 53,013 shares worth $12,352,000.
    • Arkansas Financial Group Inc.: Boosted stake by 46.8%, holding 6,863 shares valued at $1,599,000.
    • Quent Capital LLC: Increased holdings by 6.6%, now owning 137,845 shares worth $32,042,000.
  • Analyst Sentiment:

    • Consensus Rating: "Moderate Buy" with an average target price of $243.65.
    • Mixed ratings: Four "Sell," ten "Hold," twenty-one "Buy," and two "Strong Buy."
    • Notable upgrades/downgrades:
      • UBS raised price target to $236 (from $183) with a "hold" rating.
      • Citigroup increased target to $275 with a "buy" rating.
      • Loop Capital downgraded to "hold" from "buy," setting a $230 target.
  • Stock Performance:

    • Opened at $218.27 on the latest trading day.
    • 50-day SMA: $231.82, 200-day SMA: $233.26.
    • 52-week range: $164.08 (low) to $260.10 (high).
  • Financial Metrics:

    • Debt-to-equity ratio: 1.26.
    • Current ratio: 0.92, Quick ratio: 0.88.
    • Market cap: $3.28 trillion.
    • P/E ratio: 34.65, PEG ratio: 2.44, Beta: 1.18.
  • Earnings:

    • Q4 EPS: $2.40, beating estimates by $0.04.
    • ROE: 160.83%, Net margin: 24.30%.
    • Analysts expect 7.28 EPS for the current fiscal year.
  • Dividend Announcement:

    • Quarterly dividend of $0.25, paid on February 13, 2025.
    • Annualized dividend: $1.00, yield: 0.46%.
    • Dividend payout ratio: 15.87%.

Market Trends and Business Impact

  • Investor Sentiment: Mixed signals from institutional investors, with some increasing stakes while others reduce positions. This reflects cautious optimism about Apple's long-term prospects.
  • Analyst Consensus: Despite mixed ratings, the "Moderate Buy" consensus suggests overall bullishness, though tempered by risks or uncertainties.
  • Stock Valuation: High P/E and PEG ratios indicate growth expectations but may concern value investors. The stock is trading at a premium compared to historical averages.

Competitive Dynamics

  • Apple remains a dominant player in multiple tech segments (smartphones, personal computers, wearables).
  • Faces stiff competition from companies like Samsung, Microsoft, and others in respective markets.
  • Innovation pipeline and ecosystem integration are key competitive advantages.

Strategic Considerations

  • Portfolio Adjustments: Slow Capital's reduction may signal a shift toward diversification or risk mitigation.
  • Dividend Strategy: The dividend reflects Apple's commitment to returning value to shareholders while maintaining growth investments.
  • Analyst Recommendations: Varied targets highlight differing views on growth potential and valuation.

Long-Term Effects and Regulatory Impacts

  • Innovation and Growth: Apple's ability to sustain innovation will drive long-term success in a fast-evolving tech landscape.
  • Regulatory Risks: Potential antitrust scrutiny or data privacy regulations could impact business models, particularly around app stores and services.
  • Global Economic Factors: Macroeconomic conditions, trade policies, and consumer spending trends will influence performance.

Conclusion

Apple's position as a market leader is reinforced by its diverse product portfolio, strong financial health, and consistent earnings performance. However, investors should monitor competitive pressures, regulatory developments, and macroeconomic trends. While the stock appears overvalued on some metrics, the "Moderate Buy" consensus suggests potential for continued growth, provided Apple maintains its innovation edge and navigates industry challenges effectively.