ARTA

A.R.T. Advisors Portfolio holdings

AUM $1.8M
1-Year Return 57.47%
This Quarter Return
+2.29%
1 Year Return
+57.47%
3 Year Return
+81.9%
5 Year Return
+179.01%
10 Year Return
AUM
$1.89B
AUM Growth
+$5.73M
Cap. Flow
-$19.2M
Cap. Flow %
-1.02%
Top 10 Hldgs %
7.65%
Holding
1,814
New
573
Increased
323
Reduced
369
Closed
520

Sector Composition

1 Technology 13.5%
2 Consumer Discretionary 12.58%
3 Healthcare 11.21%
4 Industrials 10.24%
5 Energy 9.72%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
KND
626
DELISTED
Kindred Healthcare
KND
$706K 0.04%
+30,167
New +$706K
MGAM
627
DELISTED
MULTIMEDIA GAMES HOLDING COMPANY INC COM STK (TX)
MGAM
$706K 0.04%
24,333
+4,241
+21% +$123K
BONT
628
DELISTED
Bon-Ton Stores Inc/The
BONT
$702K 0.04%
64,006
+42,295
+195% +$464K
MWIV
629
DELISTED
MWI VETERINARY SUPPLY, INC.
MWIV
$701K 0.04%
+4,505
New +$701K
CNR
630
DELISTED
Cornerstone Building Brands, Inc.
CNR
$700K 0.04%
+40,100
New +$700K
MTGE
631
DELISTED
MTGE Investment Corp. Common Stock
MTGE
$700K 0.04%
37,314
-11,300
-23% -$212K
CXP
632
DELISTED
COLUMBIA PROPERTY TRUST, INC.
CXP
$699K 0.04%
+25,653
New +$699K
DL
633
DELISTED
China Distance Education Holdings Limited
DL
$699K 0.04%
38,813
+18,485
+91% +$333K
LSTR icon
634
Landstar System
LSTR
$4.49B
$693K 0.04%
11,719
-5,252
-31% -$311K
STAY
635
DELISTED
Extended Stay America, Inc. Paired Share Unit
STAY
$693K 0.04%
+30,448
New +$693K
IQNT
636
DELISTED
Inteliquent, Inc.
IQNT
$690K 0.04%
+47,545
New +$690K
HPY
637
DELISTED
HEARTLAND PAYMENT SYSTEMS, INC. COM STK
HPY
$690K 0.04%
+16,652
New +$690K
GEO icon
638
The GEO Group
GEO
$3.01B
$685K 0.04%
31,883
-21,246
-40% -$456K
ANSS
639
DELISTED
Ansys
ANSS
$684K 0.04%
+8,884
New +$684K
SVA
640
DELISTED
Sinovac Biotech, Ltd
SVA
$682K 0.04%
94,832
+57,860
+156% +$416K
PFPT
641
DELISTED
Proofpoint, Inc.
PFPT
$681K 0.04%
18,388
+5,900
+47% +$219K
WIRE
642
DELISTED
Encore Wire Corp
WIRE
$677K 0.04%
+13,960
New +$677K
GFI icon
643
Gold Fields
GFI
$33.2B
$676K 0.04%
183,309
-55,100
-23% -$203K
UCTT icon
644
Ultra Clean Holdings
UCTT
$1.12B
$675K 0.04%
+51,364
New +$675K
ESC
645
DELISTED
EMERITUS CORP
ESC
$674K 0.04%
21,462
-37,123
-63% -$1.17M
RNDY
646
DELISTED
ROUNDYS INC COM STK
RNDY
$672K 0.04%
+97,808
New +$672K
CALX icon
647
Calix
CALX
$4.09B
$669K 0.04%
+79,383
New +$669K
THI
648
DELISTED
TIM HORTONS INC COM, CANADA
THI
$665K 0.04%
12,033
+4,089
+51% +$226K
ERIC icon
649
Ericsson
ERIC
$26.5B
$664K 0.04%
49,832
-357,200
-88% -$4.76M
OHI icon
650
Omega Healthcare
OHI
$12.7B
$663K 0.04%
19,789
-18,431
-48% -$618K