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
BGFV icon
1051
Big 5 Sporting Goods
BGFV
$32.8M
$286K 0.01%
+13,073
New +$286K
HHS icon
1052
Harte-Hanks
HHS
$27.2M
$285K 0.01%
+3,319
New +$285K
SBRA icon
1053
Sabra Healthcare REIT
SBRA
$4.56B
$284K 0.01%
+10,911
New +$284K
GRT
1054
DELISTED
GLIMCHER REALTY TRUST
GRT
$283K 0.01%
+26,000
New +$283K
ELOS
1055
DELISTED
Syneron Medical Ltd
ELOS
$282K 0.01%
+32,423
New +$282K
OLP
1056
One Liberty Properties
OLP
$511M
$281K 0.01%
+12,796
New +$281K
UTL icon
1057
Unitil
UTL
$827M
$280K 0.01%
+9,712
New +$280K
HPY
1058
DELISTED
HEARTLAND PAYMENT SYSTEMS, INC. COM STK
HPY
$279K 0.01%
+7,504
New +$279K
MHO icon
1059
M/I Homes
MHO
$4.14B
$278K 0.01%
+12,149
New +$278K
HEI icon
1060
HEICO
HEI
$44.8B
$277K 0.01%
+16,815
New +$277K
CUB
1061
DELISTED
Cubic Corporation
CUB
$277K 0.01%
+5,768
New +$277K
VEDL
1062
DELISTED
Vedanta Limited American Depostary Shares (Each representing four equity shares)
VEDL
$276K 0.01%
+28,369
New +$276K
MATV icon
1063
Mativ Holdings
MATV
$680M
$275K 0.01%
+5,521
New +$275K
PROV icon
1064
Provident Financial
PROV
$102M
$275K 0.01%
+17,363
New +$275K
NXTM
1065
DELISTED
NxStage Medical Inc.
NXTM
$275K 0.01%
+19,322
New +$275K
TXNM
1066
TXNM Energy, Inc.
TXNM
$5.99B
$270K 0.01%
+12,208
New +$270K
WBMD
1067
DELISTED
WebMD Health Corp.
WBMD
$270K 0.01%
+9,195
New +$270K
ECPG icon
1068
Encore Capital Group
ECPG
$1.02B
$269K 0.01%
+8,152
New +$269K
MFLX
1069
DELISTED
MULTI-FINELINE ELECTRONIX INC
MFLX
$269K 0.01%
+18,228
New +$269K
MED icon
1070
Medifast
MED
$149M
$268K 0.01%
+10,404
New +$268K
TECH icon
1071
Bio-Techne
TECH
$8.46B
$268K 0.01%
+15,560
New +$268K
CODE
1072
DELISTED
SPANSION INC, CLASS A COMMON STOCK
CODE
$268K 0.01%
+21,439
New +$268K
VLTR
1073
DELISTED
VOLTERRA SEMCONDUCTOR CORP
VLTR
$267K 0.01%
+18,983
New +$267K
FNC
1074
DELISTED
SCBT FINANCIAL CORPORATION
FNC
$267K 0.01%
+5,315
New +$267K
XOMA icon
1075
Xoma
XOMA
$426M
$266K 0.01%
+3,667
New +$266K