AIM

Ada Investment Management Portfolio holdings

AUM $148M
This Quarter Return
+2.41%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$148M
AUM Growth
-$46.8M
Cap. Flow
-$46.7M
Cap. Flow %
-31.44%
Top 10 Hldgs %
11.27%
Holding
659
New
204
Increased
89
Reduced
87
Closed
278

Sector Composition

1 Consumer Discretionary 14.85%
2 Industrials 14.05%
3 Technology 11.61%
4 Healthcare 10.81%
5 Financials 9.25%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
RICE
501
DELISTED
Rice Energy Inc.
RICE
-31,361
Closed -$505K
PKY
502
DELISTED
Parkway, Inc.
PKY
-24,880
Closed -$387K
ALR
503
DELISTED
Alere Inc
ALR
-10,221
Closed -$503K
PRXL
504
DELISTED
Parexel International Corp
PRXL
-3,699
Closed -$233K
CDI
505
DELISTED
CDI Corp.
CDI
-12,714
Closed -$121K
DD
506
DELISTED
Du Pont De Nemours E I
DD
-21,995
Closed -$1.06M
WFM
507
DELISTED
Whole Foods Market Inc
WFM
-9,693
Closed -$307K
SPNC
508
DELISTED
Spectranetics Corp
SPNC
-13,841
Closed -$163K
CST
509
DELISTED
CST Brands, Inc.
CST
-16,316
Closed -$584K
TRR
510
DELISTED
Trc Companies
TRR
-27,232
Closed -$299K
INVN
511
DELISTED
Invensense Inc
INVN
-14,272
Closed -$131K
BEAV
512
DELISTED
B/E Aerospace Inc
BEAV
-15,988
Closed -$704K
SCAI
513
DELISTED
Surgical Care Affiliates, Inc.
SCAI
-7,014
Closed -$255K
HAR
514
DELISTED
Harman International Industries
HAR
-3,689
Closed -$388K
EQY
515
DELISTED
Equity One
EQY
-12,688
Closed -$303K
APOL
516
DELISTED
Apollo Education Group Inc Class A
APOL
-27,408
Closed -$299K
VA
517
DELISTED
Virgin America Inc.
VA
-29,963
Closed -$1.01M
LGF
518
DELISTED
Lions Gate Entertainment
LGF
-8,158
Closed -$300K
PGND
519
DELISTED
PRESS GANEY HOLDINGS INC COM STK (DE)
PGND
-8,015
Closed -$238K
FCS
520
DELISTED
FAIRCHILD SEMICONDUCTOR INTL INC COMMON
FCS
-12,825
Closed -$179K
NTK
521
DELISTED
NORTEK INC COM NEW (DE)
NTK
-6,404
Closed -$472K
TLMR
522
DELISTED
TALMER BANCORP INC (MI)
TLMR
-10,282
Closed -$170K
QLGC
523
DELISTED
QLOGIC CORP
QLGC
-33,727
Closed -$374K
BNK
524
DELISTED
C1 FINL INC COM STK (FL)
BNK
-10,219
Closed -$198K
IHS
525
DELISTED
IHS INC CL-A COM STK
IHS
-3,112
Closed -$372K