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AAM

Advisors Asset Management Portfolio holdings

AUM $6.56B
1-Year Est. Return 35.09%
This Fund
S&P 500
This Quarter Est. Return
-1.07%
1 Year Est. Return
+35.09%
3 Year Est. Return
+91.77%
5 Year Est. Return
+96.62%
10 Year Est. Return
+331.33%
AUM
$5.29B
AUM Growth
Cap. Flow
+$5.42B
Cap. Flow %
102.34%
Top 10 Hldgs %
8.64%
Holding
1,765
New
1,765
Increased
Reduced
Closed

Top Buys

Rank Stock Value
1
VZ icon
Verizon
VZ
+$61.1M
2
MRK icon
Merck
MRK
+$60.1M
3
T icon
AT&T
T
+$51.7M
4
INTC icon
Intel
INTC
+$43.9M
5
MO icon
Altria Group
MO
+$42.8M

Top Sells

No sells this quarter

Sector Composition

Rank Sector Weight
1 Miscellaneous 29.05%
2 Financials 11.2%
3 Energy 8.8%
4 Healthcare 7.05%
5 Industrials 6.9%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
APA icon
576
APA Corp
APA
$15.7B
$1.28M 0.02%
+15,325
New +$1.22M
BHP icon
577
BHP
BHP
$234B
$1.28M 0.02%
+26,339
New +$1.46M
SYT
578
DELISTED
Syngenta Ag
SYT
$1.28M 0.02%
+16,445
New +$1.33M
AWC
579
DELISTED
Alumina Ltd
AWC
$1.27M 0.02%
+356,234
New +$1.41M
CEQP
580
DELISTED
Crestwood Equity Partners LP
CEQP
$1.26M 0.02%
+7,899
New +$1.08M
EVEP
581
DELISTED
EV Energy Partners, L.P.
EVEP
$1.26M 0.02%
+33,747
New +$1.44M
PKG icon
582
Packaging Corp of America
PKG
$20.3B
$1.26M 0.02%
+25,717
New +$1.22M
TLK icon
583
Telkom Indonesia
TLK
$14.8B
$1.25M 0.02%
+58,470
New +$1.34M
INVX
584
Innovex International
INVX
$2.09B
$1.25M 0.02%
+13,830
New +$1.21M
PNRA
585
DELISTED
Panera Bread Co
PNRA
$1.23M 0.02%
+6,587
New +$1.21M
LYB icon
586
LyondellBasell Industries
LYB
$20.8B
$1.22M 0.02%
+18,442
New +$1.17M
PETM
587
DELISTED
PETSMART INC
PETM
$1.21M 0.02%
+18,122
New +$1.22M
TWC
588
DELISTED
TIME WARNER CABLE INC NEW COM STK
TWC
$1.21M 0.02%
+10,796
New +$1.04M
BTU
589
DELISTED
PEABODY ENERGY CORP COM STK NEW (DE)
BTU
$1.21M 0.02%
+5,523
New +$1.59M
YHOO
590
DELISTED
Yahoo Inc
YHOO
$1.21M 0.02%
+48,030
New +$1.22M
EDD
591
Morgan Stanley Emerging Markets Domestic Debt Fund
EDD
$387M
$1.2M 0.02%
+83,291
New +$1.37M
EMN icon
592
Eastman Chemical
EMN
$7.81B
$1.2M 0.02%
+17,190
New +$1.2M
RKT
593
DELISTED
ROCK-TENN COMPANY CL-A
RKT
$1.2M 0.02%
+24,016
New +$1.17M
KIM icon
594
Kimco Realty
KIM
$15.8B
$1.2M 0.02%
+55,842
New +$1.28M
CHL
595
DELISTED
China Mobile Limited
CHL
$1.2M 0.02%
+23,083
New +$1.22M
MBT
596
DELISTED
Mobile TeleSystems Public Joint Stock Company American Depositary Shares (Each representing 2 Shares
MBT
$1.19M 0.02%
+62,989
New +$1.23M
CMU
597
DELISTED
MFS High Yield Municipal Trust
CMU
$1.19M 0.02%
+266,495
New +$1.32M
BDX icon
598
Becton Dickinson
BDX
$49B
$1.18M 0.02%
+12,201
New +$1.16M
SPLS
599
DELISTED
Staples Inc
SPLS
$1.17M 0.02%
+73,994
New +$1.06M
CXE
600
DELISTED
MFS High Income Municipal Trust
CXE
$1.17M 0.02%
+240,200
New +$1.31M

Similar funds

Advisors Asset Management's Q2 2013 Portfolio in Review

Q2 2013 is the first quarter with a 13F filing on record for Advisors Asset Management, which disclosed 1,765 positions worth $5.29B. Its ten largest holdings account for 8.6% of the portfolio.

Its largest position is Verizon: 1,197,479 shares worth $60.3M.

By sector, the portfolio is most concentrated in Miscellaneous at 29% of assets, followed by Financials and Energy.

  • Advisors Asset Management's largest Q2 2013 buy was Verizon: 1,197,479 shares worth $60.3M.
  • Advisors Asset Management's ten largest holdings make up 8.6% of its $5.29B portfolio in Q2 2013.
  • Advisors Asset Management disclosed 1,765 positions in Q2 2013, its first 13F filing on record.

Based on Advisors Asset Management's 13F filing for Q2 2013, filed 14 Aug 2013.