We are live on ! Find out more
AAM

Advisors Asset Management Portfolio holdings

AUM $6.56B
1-Year Est. Return 35.09%
This Fund
S&P 500
This Quarter Est. Return
+8.42%
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
$7.12B
AUM Growth
+$690M
Cap. Flow
-$135M
Cap. Flow %
-1.9%
Top 10 Hldgs %
22.23%
Holding
1,542
New
64
Increased
726
Reduced
606
Closed
140

Top Buys

Rank Stock Value
1
MRK icon
Merck
MRK
+$12.1M
2
SHOP icon
Shopify
SHOP
+$8.91M
3
AMGN icon
Amgen
AMGN
+$7.56M
4
XYZ
Block Inc
XYZ
+$6M
5
WMT icon
Walmart Inc
WMT
+$4.97M

Top Sells

Rank Stock Value
1
MSFT icon
Microsoft
MSFT
+$19.7M
2
AAPL icon
Apple
AAPL
+$18.9M
3
GOOGL icon
Alphabet (Google) Class A
GOOGL
+$13.9M
4
RTX icon
RTX Corp
RTX
+$13.8M
5
AMZN icon
Amazon
AMZN
+$12.8M

Sector Composition

Rank Sector Weight
1 Technology 16.4%
2 Miscellaneous 13.87%
3 Financials 13.76%
4 Communication Services 10.74%
5 Consumer Discretionary 10.17%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
PCI
1401
DELISTED
PIMCO Dynamic Credit and Mortgage Income Fund
PCI
$6K ﹤0.01%
250
PDI icon
1402
PIMCO Dynamic Income Fund
PDI
$7.17B
$5K ﹤0.01%
185
ABCB icon
1403
Ameris Bancorp
ABCB
$5.7B
-824
Closed -$43.3K
AEG icon
1404
Aegon
AEG
$13.5B
-76,076
Closed -$332K
AEO icon
1405
American Eagle Outfitters
AEO
$2.89B
-5,347
Closed -$156K
AKAM icon
1406
Akamai
AKAM
$15.2B
-1,519
Closed -$155K
APAM icon
1407
Artisan Partners
APAM
$2.92B
-13,061
Closed -$681K
ATRO icon
1408
Astronics
ATRO
$3.27B
-5,404
Closed -$81.2K
BFZ
1409
DELISTED
BlackRock CA Municipal Income Trust
BFZ
-156,977
Closed -$2.25M
BHK icon
1410
BlackRock Core Bond Trust
BHK
$647M
-17,025
Closed -$267K
BMEZ icon
1411
BlackRock Health Sciences Trust II
BMEZ
$1.06B
-23,346
Closed -$614K
BOX icon
1412
Box
BOX
$4.71B
-1,791
Closed -$41.1K
BRX icon
1413
Brixmor Property Group
BRX
$8.95B
-2,927
Closed -$59.2K
BTA
1414
DELISTED
BlackRock Long-Term Municipal Advantage Trust
BTA
-36,306
Closed -$460K
BYND icon
1415
Beyond Meat
BYND
$193M
-7
Closed -$25.6K
CACC icon
1416
Credit Acceptance
CACC
$6.16B
-68
Closed -$24.5K
CCAP icon
1417
Crescent Capital BDC
CCAP
$379M
-10,191
Closed -$175K
CEV
1418
Eaton Vance California Municipal Income Trust
CEV
$72.1M
-17,802
Closed -$236K
CGC
1419
Canopy Growth
CGC
$434M
-184
Closed -$58.8K
CGNT icon
1420
Cognyte Software
CGNT
$608M
-580
Closed -$16.1K
CLDT
1421
Chatham Lodging
CLDT
$592M
-30,640
Closed -$403K
CNMD icon
1422
CONMED
CNMD
$1.4B
-160
Closed -$20.9K
CPA icon
1423
Copa Holdings
CPA
$5.3B
-2,161
Closed -$175K
CUK
1424
DELISTED
Carnival PLC
CUK
-6,848
Closed -$153K
CUZ icon
1425
Cousins Properties
CUZ
$4.68B
-817
Closed -$28.9K

Similar funds

Advisors Asset Management's Q2 2021 Portfolio in Review

As of Q2 2021, Advisors Asset Management held 1,542 positions worth $7.12B, up 11% from $6.43B the previous quarter. Its ten largest holdings account for 22% of the portfolio.

Advisors Asset Management's Q2 2021 filing shows 64 new, 726 increased, 606 reduced and 140 closed positions. Its largest new stake was Strategic Education: 27,411 shares worth $2.08M. The largest sale was Microsoft, an estimated $19.7M.

By sector, the portfolio is most concentrated in Technology at 16% of assets, down from 17% a quarter earlier, followed by Miscellaneous and Financials.

  • Advisors Asset Management's largest Q2 2021 buy was Strategic Education: 27,411 shares worth $2.08M.
  • Advisors Asset Management added most to Merck in Q2 2021, an estimated $12.1M increase.
  • Advisors Asset Management's biggest Q2 2021 reduction was Microsoft, cutting an estimated $19.7M.
  • Advisors Asset Management fully exited RTX Corp in Q2 2021, selling an estimated $13.8M.
  • Advisors Asset Management's ten largest holdings make up 22% of its $7.12B portfolio in Q2 2021.
  • Advisors Asset Management opened 64 new positions and closed 140 in Q2 2021.
  • Advisors Asset Management's portfolio value rose 11% quarter-over-quarter to $7.12B.

Based on Advisors Asset Management's 13F filing for Q2 2021, filed 30 Jul 2021.