ASN

Advisory Services Network Portfolio holdings

AUM $6.21B
1-Year Return 19.36%
This Quarter Return
+2.34%
1 Year Return
+19.36%
3 Year Return
+75.43%
5 Year Return
+137.86%
10 Year Return
AUM
$366M
AUM Growth
+$55.2M
Cap. Flow
+$53.2M
Cap. Flow %
14.54%
Top 10 Hldgs %
15.05%
Holding
1,921
New
304
Increased
644
Reduced
322
Closed
134

Sector Composition

1 Technology 10.56%
2 Healthcare 9.89%
3 Consumer Staples 7.84%
4 Financials 7.09%
5 Consumer Discretionary 7.07%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
PML
776
PIMCO Municipal Income Fund II
PML
$501M
$33K 0.01%
+2,500
New +$33K
SUN icon
777
Sunoco
SUN
$6.9B
$33K 0.01%
1,000
+150
+18% +$4.95K
TREE icon
778
LendingTree
TREE
$977M
$33K 0.01%
339
SNLN
779
DELISTED
Highland/iBoxx Senior Loan ETF
SNLN
$33K 0.01%
1,782
CHK
780
DELISTED
Chesapeake Energy Corporation
CHK
$33K 0.01%
40
+39
+3,900% +$32.2K
WWAV
781
DELISTED
The WhiteWave Foods Company
WWAV
$33K 0.01%
800
CNP icon
782
CenterPoint Energy
CNP
$24.7B
$33K 0.01%
1,566
+1,491
+1,988% +$31.4K
DWM icon
783
WisdomTree International Equity Fund
DWM
$599M
$33K 0.01%
+717
New +$33K
CAH icon
784
Cardinal Health
CAH
$35.6B
$32K 0.01%
391
+205
+110% +$16.8K
CYD icon
785
China Yuchai International
CYD
$1.39B
$32K 0.01%
+3,200
New +$32K
HAS icon
786
Hasbro
HAS
$10.9B
$32K 0.01%
400
-725
-64% -$58K
HYLS icon
787
First Trust Exchange-Traded Fund IV First Trust Tactical High Yield ETF
HYLS
$1.68B
$32K 0.01%
675
IQV icon
788
IQVIA
IQV
$31.3B
$32K 0.01%
+485
New +$32K
PCEF icon
789
Invesco CEF Income Composite ETF
PCEF
$845M
$32K 0.01%
1,505
RY icon
790
Royal Bank of Canada
RY
$203B
$32K 0.01%
554
+3
+0.5% +$173
SPFF icon
791
Global X SuperIncome Preferred ETF
SPFF
$136M
$32K 0.01%
2,437
TECL icon
792
Direxion Daily Technology Bull 3x Shares
TECL
$3.76B
$32K 0.01%
8,000
DWTI
793
DELISTED
VelocityShares 3x Inverse Crude ETN linked to the S&P GSCI Crude Oil Index Excess Return
DWTI
$32K 0.01%
200
VMC icon
794
Vulcan Materials
VMC
$38.9B
$31K 0.01%
297
+197
+197% +$20.6K
AMG icon
795
Affiliated Managers Group
AMG
$6.6B
$31K 0.01%
192
DNOW icon
796
DNOW Inc
DNOW
$1.61B
$31K 0.01%
1,760
+521
+42% +$9.18K
EXC icon
797
Exelon
EXC
$43.8B
$31K 0.01%
1,195
-1,882
-61% -$48.8K
ITT icon
798
ITT
ITT
$13.6B
$31K 0.01%
839
-24
-3% -$887
OPCH icon
799
Option Care Health
OPCH
$4.66B
$31K 0.01%
+3,600
New +$31K
RCL icon
800
Royal Caribbean
RCL
$92.8B
$31K 0.01%
379