ARC

Absolute Return Capital Portfolio holdings

AUM $1.57B
1-Year Return 6.39%
This Quarter Return
-8.4%
1 Year Return
-6.39%
3 Year Return
5 Year Return
10 Year Return
AUM
$1.57B
AUM Growth
-$942M
Cap. Flow
-$733M
Cap. Flow %
-46.8%
Top 10 Hldgs %
14.15%
Holding
675
New
91
Increased
134
Reduced
278
Closed
171

Sector Composition

1 Industrials 21.92%
2 Energy 14.58%
3 Consumer Discretionary 13.28%
4 Consumer Staples 10.35%
5 Healthcare 8.44%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
WKC icon
151
World Kinect Corp
WKC
$1.48B
$2.86M 0.18%
79,911
-105,649
-57% -$3.78M
ROK icon
152
Rockwell Automation
ROK
$38.2B
$2.84M 0.18%
28,030
+6,344
+29% +$644K
ISRG icon
153
Intuitive Surgical
ISRG
$167B
$2.75M 0.18%
53,793
-61,992
-54% -$3.17M
HOT
154
DELISTED
STARWOOD HOTELS & RESORTS WORLDWIDE, INC.
HOT
$2.74M 0.18%
41,278
-8,229
-17% -$547K
PGRE
155
Paramount Group
PGRE
$1.66B
$2.7M 0.17%
160,573
+10,006
+7% +$168K
STWD icon
156
Starwood Property Trust
STWD
$7.56B
$2.67M 0.17%
130,077
-54,749
-30% -$1.12M
ALLY icon
157
Ally Financial
ALLY
$12.7B
$2.66M 0.17%
130,552
-102,232
-44% -$2.08M
DKS icon
158
Dick's Sporting Goods
DKS
$17.7B
$2.6M 0.17%
52,307
-4,137
-7% -$205K
GE icon
159
GE Aerospace
GE
$296B
$2.56M 0.16%
+21,169
New +$2.56M
AMH icon
160
American Homes 4 Rent
AMH
$12.9B
$2.52M 0.16%
156,940
-72,086
-31% -$1.16M
BMR
161
DELISTED
BIOMED REALTY TRUST INC
BMR
$2.52M 0.16%
126,125
-68,619
-35% -$1.37M
AWI icon
162
Armstrong World Industries
AWI
$8.58B
$2.51M 0.16%
52,659
-22,036
-30% -$1.05M
TW
163
DELISTED
TOWERS WATSON & CO COM STK CL A (DE)
TW
$2.49M 0.16%
21,170
+746
+4% +$87.6K
KR icon
164
Kroger
KR
$44.8B
$2.47M 0.16%
+68,517
New +$2.47M
ESI icon
165
Element Solutions
ESI
$6.33B
$2.47M 0.16%
194,891
+9,646
+5% +$122K
BRSL
166
Brightstar Lottery PLC
BRSL
$3.18B
$2.46M 0.16%
160,306
+159,238
+14,910% +$2.44M
RRX icon
167
Regal Rexnord
RRX
$9.66B
$2.44M 0.16%
43,284
+1,353
+3% +$76.4K
HME
168
DELISTED
HOME PROPERTIES, INC
HME
$2.43M 0.16%
32,564
-9,861
-23% -$737K
MSI icon
169
Motorola Solutions
MSI
$79.8B
$2.43M 0.16%
35,552
+20,127
+130% +$1.38M
CFG icon
170
Citizens Financial Group
CFG
$22.3B
$2.41M 0.15%
101,128
-17,840
-15% -$426K
LPT
171
DELISTED
Liberty Property Trust
LPT
$2.41M 0.15%
76,502
-9,565
-11% -$301K
AES icon
172
AES
AES
$9.21B
$2.41M 0.15%
+245,757
New +$2.41M
TFCF
173
DELISTED
Twenty-First Century Fox, Inc. Class B
TFCF
$2.36M 0.15%
+87,210
New +$2.36M
CVC
174
DELISTED
CABLEVISION SYS CP NY GRP CL-A
CVC
$2.34M 0.15%
72,074
-237,473
-77% -$7.71M
UNH icon
175
UnitedHealth
UNH
$286B
$2.33M 0.15%
20,044
-139,369
-87% -$16.2M