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
AMAG
626
DELISTED
AMAG Pharmaceuticals, Inc.
AMAG
$1M 0.03%
+44,961
New +$1M
EBIX
627
DELISTED
Ebix Inc
EBIX
$996K 0.03%
+107,639
New +$996K
AWR icon
628
American States Water
AWR
$2.81B
$995K 0.03%
+37,114
New +$995K
SCSC icon
629
Scansource
SCSC
$976M
$993K 0.03%
+31,047
New +$993K
LRCX icon
630
Lam Research
LRCX
$146B
$989K 0.03%
+223,070
New +$989K
CMCSK
631
DELISTED
COMCAST CORP SPL A (NEW)
CMCSK
$987K 0.03%
+24,888
New +$987K
EXR icon
632
Extra Space Storage
EXR
$31.4B
$985K 0.03%
+23,508
New +$985K
THRM icon
633
Gentherm
THRM
$1.1B
$985K 0.03%
+53,057
New +$985K
LVNTA
634
DELISTED
Liberty Interactive Corporation Series A Liberty Ventures
LVNTA
$984K 0.03%
+47,143
New +$984K
RSH
635
DELISTED
RADIOSHACK CORP
RSH
$983K 0.03%
+311,158
New +$983K
WLT
636
DELISTED
WALTER ENERGY INC COM STK (DE)
WLT
$977K 0.03%
+93,977
New +$977K
CADX
637
DELISTED
CADENCE PHARMACEUTICALS, INC COM STK
CADX
$977K 0.03%
+143,365
New +$977K
IMMR icon
638
Immersion
IMMR
$222M
$975K 0.03%
+73,589
New +$975K
EXAM
639
DELISTED
EXAMWORKS GROUP INC COM STK (DE)
EXAM
$964K 0.03%
+45,424
New +$964K
KMT icon
640
Kennametal
KMT
$1.6B
$963K 0.03%
+24,811
New +$963K
FSLR icon
641
First Solar
FSLR
$22.2B
$962K 0.03%
+21,483
New +$962K
PKY
642
DELISTED
Parkway, Inc.
PKY
$960K 0.03%
+57,291
New +$960K
IAG icon
643
IAMGOLD
IAG
$6.32B
$959K 0.03%
+221,610
New +$959K
PNFP icon
644
Pinnacle Financial Partners
PNFP
$7.58B
$955K 0.03%
+37,175
New +$955K
NPKI
645
NPK International Inc.
NPKI
$898M
$955K 0.03%
+86,944
New +$955K
DOLE
646
DELISTED
DOLE FOOD CO INC NEW CMN STK (DE)
DOLE
$954K 0.03%
+74,838
New +$954K
JKS
647
JinkoSolar
JKS
$1.24B
$951K 0.03%
+105,285
New +$951K
MATX icon
648
Matsons
MATX
$3.36B
$951K 0.03%
+38,051
New +$951K
OSK icon
649
Oshkosh
OSK
$8.91B
$951K 0.03%
+25,069
New +$951K
CLDX icon
650
Celldex Therapeutics
CLDX
$1.66B
$950K 0.03%
+4,060
New +$950K