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The following slide deck was published by Intesa Sanpaolo S.p.A. in conjunction with their 2021 Q4 earnings call. For further details see: Intesa Sanpaolo S.p.A. 2021 Q4 - Results - Earnings Call Presentation
Intesa Sanpaolo press release (OTCPK:ISNPY): Q4 Net income of €179M. Revenue of €5.02B (-2.5% Y/Y). For further details see: Intesa Sanpaolo Net income of €179M, revenue of €5.02B
Fisher’s 13F portfolio value increased from ~$161B to ~$179B in Q4 2021. Amazon, Netflix, Meta Platforms, and PayPal Holdings were increased while reducing Visa, Cisco Systems, Walt Disney, Intel, Wal-Mart, UnitedHealth, and Starbucks this quarter. The top three positions a...
Harris Associates’ 13F portfolio value decreased from $62.80B to $62.77B this quarter. They increased Fiserv, Humana, and Alibaba while decreasing CNH Industrial, Liberty Global, and Automatic Data Processing. The top three positions are Alphabet, Bank of America, and Chart...
Intesa Sanpaolo S.p.A. (OTCPK:IITOF): Q3 Net income of €983M. Revenue of €5.09B (+9.0% Y/Y). Press Release For further details see: Intesa Sanpaolo S.p.A. reports Q3 results
Fisher’s 13F portfolio value increased from ~$159B to ~$161B in Q3 2021. Advanced Micro Devices, Facebook, and Lam Research were increased while reducing Visa this quarter. The top three positions are Apple, Microsoft, and Amazon. They add up to ~14% of the portfolio. ...
Harris Associates’ 13F portfolio value increased from $58.52B to $62.80B this quarter. They increased Fiserv, Netflix, Regeneron, and Alibaba while decreasing Cenovus Energy, Mastercard, Howmet Aerospace, Caterpillar, and MGM Resorts. The top three positions are Alphabet, B...
Intesa Sanpaolo delivered another strong quarter, with the positive underlying earnings trends supporting the case for a near-term recovery. With the guidance numbers also upgraded despite still embedding some conservatism, there appears to be plenty of upside to the earnings growth t...
Fisher’s 13F portfolio value increased from ~$142B to ~$159B in Q2 2021. The Vanguard Intermediate-Term Corporate Bond ETF stake was increased substantially this quarter. The top three positions are Apple, Microsoft, and Amazon. They add up to ~14% of the portfolio. F...
Harris Associates’ 13F portfolio value increased from $51.71B to $58.52B this quarter. They increased Humana, General Dynamics and Regeneron Pharmaceuticals, while decreasing Agilent Technologies, Mastercard, TE Connectivity and CNH Industrial. The top three positions are A...