ARTA

A.R.T. Advisors Portfolio holdings

AUM $1.8M
1-Year Return 57.47%
This Quarter Return
+1.4%
1 Year Return
+57.47%
3 Year Return
+81.9%
5 Year Return
+179.01%
10 Year Return
AUM
$2B
AUM Growth
-$231M
Cap. Flow
-$232M
Cap. Flow %
-11.58%
Top 10 Hldgs %
6.82%
Holding
1,904
New
580
Increased
368
Reduced
360
Closed
591

Sector Composition

1 Consumer Discretionary 14.12%
2 Healthcare 11.46%
3 Technology 11.23%
4 Industrials 11.18%
5 Energy 8.56%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
KRNY icon
1176
Kearny Financial
KRNY
$414M
$126K 0.01%
+10,051
New +$126K
OIG
1177
DELISTED
Orbital Infrastructure Group, Inc. Common Stock
OIG
$126K 0.01%
+628
New +$126K
DRYS
1178
DELISTED
DryShips Inc. Common Stock
DRYS
0
-$157K
GLF
1179
DELISTED
GulfMark Offshore, Inc. Common Stock
GLF
$126K 0.01%
+40,526
New +$126K
MNTX
1180
DELISTED
Manitex International, Inc.
MNTX
$124K 0.01%
+18,035
New +$124K
CNTY icon
1181
Century Casinos
CNTY
$77.2M
$122K 0.01%
19,599
-1,820
-8% -$11.3K
VJET
1182
DELISTED
VOXELJET AG American Depositary Shares (each representing one Ordinary Share)
VJET
$122K 0.01%
+5,375
New +$122K
PMTS icon
1183
CPI Card Group
PMTS
$165M
$121K 0.01%
+4,840
New +$121K
YUME
1184
DELISTED
YuMe, Inc.
YUME
$121K 0.01%
32,909
+2,300
+8% +$8.46K
TLGT
1185
DELISTED
Teligent, Inc
TLGT
$118K 0.01%
1,661
-780
-32% -$55.4K
OSIR
1186
DELISTED
Osiris Therapeutics, Inc. Common Stock
OSIR
$117K 0.01%
+23,049
New +$117K
AVID
1187
DELISTED
Avid Technology Inc
AVID
$116K 0.01%
+19,993
New +$116K
CNCE
1188
DELISTED
Concert Pharmaceuticals, Inc.
CNCE
$116K 0.01%
10,341
-29,104
-74% -$326K
MOBL
1189
DELISTED
MobileIron, Inc.
MOBL
$111K 0.01%
+36,639
New +$111K
UAM
1190
DELISTED
Universal American Corp
UAM
$110K 0.01%
+14,521
New +$110K
TACO
1191
DELISTED
Del Taco Restaurants, Inc. Common Stock
TACO
$110K 0.01%
+12,105
New +$110K
BGC icon
1192
BGC Group
BGC
$4.8B
$108K 0.01%
+19,458
New +$108K
TNDM icon
1193
Tandem Diabetes Care
TNDM
$849M
$108K 0.01%
+1,434
New +$108K
ATYR
1194
aTyr Pharma
ATYR
$508M
$108K 0.01%
2,796
+1,315
+89% +$50.8K
DEST
1195
DELISTED
Destination Maternity Corporation
DEST
$106K 0.01%
+18,177
New +$106K
HDNG
1196
DELISTED
Hardinge Inc
HDNG
$106K 0.01%
+10,580
New +$106K
ARCT icon
1197
Arcturus Therapeutics
ARCT
$484M
$105K 0.01%
3,363
-704
-17% -$22K
EXAR
1198
DELISTED
Exar Corporation
EXAR
$105K 0.01%
+13,130
New +$105K
AMSC icon
1199
American Superconductor
AMSC
$2.35B
$104K 0.01%
+12,387
New +$104K
NAVB
1200
DELISTED
Navidea Biopharmaceuticals Inc.
NAVB
$104K 0.01%
+9,891
New +$104K