AP

AHL Partners Portfolio holdings

AUM $6.41B
This Quarter Return
+4.8%
1 Year Return
+23.13%
3 Year Return
+67.91%
5 Year Return
10 Year Return
AUM
$1.85B
AUM Growth
+$1.85B
Cap. Flow
+$208M
Cap. Flow %
11.2%
Top 10 Hldgs %
13.81%
Holding
923
New
180
Increased
333
Reduced
304
Closed
105

Sector Composition

1 Utilities 21.28%
2 Consumer Staples 13.27%
3 Healthcare 11.89%
4 Industrials 11.2%
5 Technology 10.23%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
DECK icon
826
Deckers Outdoor
DECK
$18.2B
-32,443
Closed -$1.94M
DG icon
827
Dollar General
DG
$24.3B
-3,294
Closed -$282K
DKS icon
828
Dick's Sporting Goods
DKS
$16.8B
-12,913
Closed -$603K
ESI icon
829
Element Solutions
ESI
$6.15B
-15,670
Closed -$135K
ETR icon
830
Entergy
ETR
$39.3B
-156,242
Closed -$12.4M
FL icon
831
Foot Locker
FL
$2.3B
-14,476
Closed -$933K
FORM icon
832
FormFactor
FORM
$2.25B
-15,302
Closed -$111K
FOSL icon
833
Fossil Group
FOSL
$165M
-44,188
Closed -$1.96M
GES icon
834
Guess, Inc.
GES
$875M
-51,966
Closed -$976K
GME icon
835
GameStop
GME
$10.5B
-36,712
Closed -$1.17M
GNRC icon
836
Generac Holdings
GNRC
$10.9B
-9,605
Closed -$358K
GPRO icon
837
GoPro
GPRO
$236M
-149,955
Closed -$1.79M
HRI icon
838
Herc Holdings
HRI
$4.35B
-57,881
Closed -$609K
BRSL
839
Brightstar Lottery PLC
BRSL
$3.11B
-30,230
Closed -$552K
SBGI icon
840
Sinclair Inc
SBGI
$1.01B
-31,441
Closed -$966K
SWFT
841
DELISTED
Swift Transportation Company
SWFT
-45,201
Closed -$842K
IMS
842
DELISTED
IMS HEALTH HLDGS INC COM STK (DE)
IMS
-21,888
Closed -$581K
AAL icon
843
American Airlines Group
AAL
$8.84B
-18,625
Closed -$764K
ABG icon
844
Asbury Automotive
ABG
$4.95B
-9,870
Closed -$591K
AEO icon
845
American Eagle Outfitters
AEO
$2.34B
-53,133
Closed -$885K
ALGT icon
846
Allegiant Air
ALGT
$1.15B
-5,588
Closed -$995K
ANF icon
847
Abercrombie & Fitch
ANF
$4.33B
-30,949
Closed -$976K
ASB icon
848
Associated Banc-Corp
ASB
$4.37B
-11,003
Closed -$198K
ASH icon
849
Ashland
ASH
$2.51B
-11,482
Closed -$1.26M
BBWI icon
850
Bath & Body Works
BBWI
$6.09B
-4,220
Closed -$370K