ASN

Advisory Services Network Portfolio holdings

AUM $6.21B
1-Year Return 19.36%
This Quarter Return
+22.14%
1 Year Return
+19.36%
3 Year Return
+75.43%
5 Year Return
+137.86%
10 Year Return
AUM
$1.82B
AUM Growth
+$293M
Cap. Flow
+$24.6M
Cap. Flow %
1.35%
Top 10 Hldgs %
15.04%
Holding
3,239
New
23
Increased
609
Reduced
372
Closed
2,148
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ULTA icon
851
Ulta Beauty
ULTA
$23.5B
$260K 0.01%
1,273
+139
+12% +$28.4K
NLY icon
852
Annaly Capital Management
NLY
$14B
$259K 0.01%
9,878
+805
+9% +$21.1K
CDK
853
DELISTED
CDK Global, Inc.
CDK
$259K 0.01%
6,246
+247
+4% +$10.2K
SRCL
854
DELISTED
Stericycle Inc
SRCL
$258K 0.01%
4,620
+6
+0.1% +$335
REM icon
855
iShares Mortgage Real Estate ETF
REM
$613M
$257K 0.01%
10,349
+4,331
+72% +$108K
STRL icon
856
Sterling Infrastructure
STRL
$9.72B
$257K 0.01%
24,564
+6,700
+38% +$70.1K
ZEN
857
DELISTED
ZENDESK INC
ZEN
$257K 0.01%
2,902
+1,752
+152% +$155K
INFO
858
DELISTED
IHS Markit Ltd. Common Shares
INFO
$257K 0.01%
3,401
+2,971
+691% +$225K
HEFA icon
859
iShares Currency Hedged MSCI EAFE ETF
HEFA
$6.66B
$254K 0.01%
9,208
-7,638
-45% -$211K
UTMD icon
860
Utah Medical Products
UTMD
$200M
$254K 0.01%
2,862
-2,058
-42% -$183K
PSA icon
861
Public Storage
PSA
$50B
$253K 0.01%
1,318
+33
+3% +$6.34K
WRK
862
DELISTED
WestRock Company
WRK
$253K 0.01%
8,953
+12
+0.1% +$339
FPEI icon
863
First Trust Institutional Preferred Securities and Income ETF
FPEI
$1.71B
$251K 0.01%
13,332
-84,321
-86% -$1.59M
IEX icon
864
IDEX
IEX
$12.3B
$251K 0.01%
1,587
-506
-24% -$80K
NEV
865
DELISTED
NUVEEN ENHANCED MUNICIPAL VALUE FUND
NEV
$251K 0.01%
17,191
+127
+0.7% +$1.85K
IXC icon
866
iShares Global Energy ETF
IXC
$1.87B
$249K 0.01%
12,737
-7,273
-36% -$142K
CRL icon
867
Charles River Laboratories
CRL
$7.46B
$248K 0.01%
1,424
-135
-9% -$23.5K
INMD icon
868
InMode
INMD
$946M
$248K 0.01%
17,532
+7,600
+77% +$108K
J icon
869
Jacobs Solutions
J
$17.5B
$248K 0.01%
3,523
-4,663
-57% -$328K
ABR icon
870
Arbor Realty Trust
ABR
$2.22B
$246K 0.01%
26,588
+1,782
+7% +$16.5K
BDCS
871
DELISTED
UBS AG Exchange Traded Access Securities (E-TRACS)Linked to the Wells Fargo Business Development Com
BDCS
$245K 0.01%
17,742
+4,097
+30% +$56.6K
RIG icon
872
Transocean
RIG
$3.27B
$244K 0.01%
133,322
+21,210
+19% +$38.8K
GPC icon
873
Genuine Parts
GPC
$19.4B
$243K 0.01%
2,800
-4,048
-59% -$351K
NVG icon
874
Nuveen AMT-Free Municipal Credit Income Fund
NVG
$2.62B
$242K 0.01%
15,831
-940
-6% -$14.4K
RADA
875
DELISTED
Rada Electronic Industries Ltd
RADA
$242K 0.01%
37,031
+3,286
+10% +$21.5K