ARTA

A.R.T. Advisors Portfolio holdings

AUM $1.8M
1-Year Return 57.47%
This Quarter Return
+2.62%
1 Year Return
+57.47%
3 Year Return
+81.9%
5 Year Return
+179.01%
10 Year Return
AUM
$3.06B
AUM Growth
Cap. Flow
+$3.06B
Cap. Flow %
100%
Top 10 Hldgs %
8.25%
Holding
1,302
New
1,301
Increased
Reduced
Closed

Top Buys

1
INTC icon
Intel
INTC
+$27.9M
2
AAPL icon
Apple
AAPL
+$27M
3
WMT icon
Walmart
WMT
+$27M
4
HPQ icon
HP
HPQ
+$26.8M
5
F icon
Ford
F
+$25.8M

Top Sells

No sells this quarter

Sector Composition

1 Consumer Discretionary 12.56%
2 Technology 12.29%
3 Industrials 10.17%
4 Healthcare 10%
5 Financials 9.37%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
IRM icon
426
Iron Mountain
IRM
$28.8B
$1.83M 0.06%
+74,443
New +$1.83M
ASPS icon
427
Altisource Portfolio Solutions
ASPS
$125M
$1.82M 0.06%
+2,413
New +$1.82M
ADEA icon
428
Adeia
ADEA
$1.65B
$1.79M 0.06%
+324,694
New +$1.79M
EV
429
DELISTED
Eaton Vance Corp.
EV
$1.79M 0.06%
+47,510
New +$1.79M
HTWR
430
DELISTED
HEARTWARE INTERNATIONAL INC COM STK (DE)
HTWR
$1.78M 0.06%
+18,765
New +$1.78M
MR
431
DELISTED
MINDRAY MED INTL LTD SPONSORED ADR REPSTG CL A
MR
$1.78M 0.06%
+47,555
New +$1.78M
HMSY
432
DELISTED
HMS Holdings Corp.
HMSY
$1.77M 0.06%
+76,030
New +$1.77M
CNVR
433
DELISTED
CONVERSANT INC COM STK (DE)
CNVR
$1.77M 0.06%
+71,700
New +$1.77M
FLG
434
Flagstar Financial, Inc.
FLG
$5.24B
$1.77M 0.06%
+42,107
New +$1.77M
WDR
435
DELISTED
Waddell & Reed Financial, Inc.
WDR
$1.76M 0.06%
+40,424
New +$1.76M
STWD icon
436
Starwood Property Trust
STWD
$7.6B
$1.76M 0.06%
+88,064
New +$1.76M
AUXL
437
DELISTED
AUXILIUM PHARAMCEUTICALS INC
AUXL
$1.75M 0.06%
+105,123
New +$1.75M
VIPS icon
438
Vipshop
VIPS
$8.85B
$1.74M 0.06%
+596,410
New +$1.74M
TRMB icon
439
Trimble
TRMB
$19.1B
$1.74M 0.06%
+66,796
New +$1.74M
INGR icon
440
Ingredion
INGR
$8.08B
$1.72M 0.06%
+26,228
New +$1.72M
BBL
441
DELISTED
BHP Group Plc American Depositary Shares (Each representing two Ordinary Shares)
BBL
$1.72M 0.06%
+33,505
New +$1.72M
DCI icon
442
Donaldson
DCI
$9.34B
$1.71M 0.06%
+48,083
New +$1.71M
PVTB
443
DELISTED
PrivateBancorp Inc
PVTB
$1.7M 0.06%
+80,287
New +$1.7M
SPPI
444
DELISTED
Spectrum Pharmaceuticals Inc
SPPI
$1.7M 0.06%
+228,215
New +$1.7M
H icon
445
Hyatt Hotels
H
$13.6B
$1.7M 0.06%
+42,170
New +$1.7M
LYV icon
446
Live Nation Entertainment
LYV
$39.6B
$1.69M 0.06%
+108,971
New +$1.69M
ST icon
447
Sensata Technologies
ST
$4.59B
$1.68M 0.06%
+48,280
New +$1.68M
RDS.A
448
DELISTED
Royal Dutch Shell PLC ADS Class A
RDS.A
$1.66M 0.05%
+25,978
New +$1.66M
GOLD
449
DELISTED
Randgold Resources Ltd
GOLD
$1.66M 0.05%
+26,270
New +$1.66M
ARRS
450
DELISTED
ARRIS International plc Ordinary Shares
ARRS
$1.65M 0.05%
+115,055
New +$1.65M