AP

AHL Partners Portfolio holdings

AUM $6.41B
1-Year Return 23.13%
This Quarter Return
+6.77%
1 Year Return
+23.13%
3 Year Return
+67.91%
5 Year Return
10 Year Return
AUM
$6.41B
AUM Growth
+$816M
Cap. Flow
+$525M
Cap. Flow %
8.19%
Top 10 Hldgs %
8.58%
Holding
1,445
New
224
Increased
492
Reduced
519
Closed
207

Sector Composition

1 Industrials 20.71%
2 Consumer Discretionary 19.04%
3 Financials 10.98%
4 Technology 9.04%
5 Healthcare 8.78%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TGH
1126
DELISTED
Textainer Group Holdings limited
TGH
$383K 0.01%
+17,804
New +$383K
ADI icon
1127
Analog Devices
ADI
$122B
$382K 0.01%
4,294
-12,964
-75% -$1.15M
BMCH
1128
DELISTED
BMC Stock Holdings, Inc
BMCH
$381K 0.01%
15,075
+4,757
+46% +$120K
ZWS icon
1129
Zurn Elkay Water Solutions
ZWS
$7.82B
$379K 0.01%
+30,220
New +$379K
SODA
1130
DELISTED
SodaStream International Ltd
SODA
$379K 0.01%
+5,387
New +$379K
CATM
1131
DELISTED
Cardtronics plc Class A Ordinary Shares (UK)
CATM
$375K 0.01%
20,233
-122,497
-86% -$2.27M
KOP icon
1132
Koppers
KOP
$565M
$371K 0.01%
7,283
-5,573
-43% -$284K
HCSG icon
1133
Healthcare Services Group
HCSG
$1.15B
$368K 0.01%
+6,972
New +$368K
ETFC
1134
DELISTED
E*Trade Financial Corporation
ETFC
$364K 0.01%
7,353
+2,714
+59% +$134K
ACCO icon
1135
Acco Brands
ACCO
$364M
$361K 0.01%
+29,608
New +$361K
LKSD
1136
DELISTED
LSC Communications, Inc.
LKSD
$360K 0.01%
+23,743
New +$360K
NNBR icon
1137
NN Inc
NNBR
$126M
$359K 0.01%
+13,007
New +$359K
KRA
1138
DELISTED
Kraton Corporation
KRA
$358K 0.01%
+7,432
New +$358K
BH icon
1139
Biglari Holdings Class B
BH
$975M
$356K 0.01%
+1,290
New +$356K
GFF icon
1140
Griffon
GFF
$3.67B
$354K 0.01%
17,375
+4,398
+34% +$89.6K
ANGI icon
1141
Angi Inc
ANGI
$803M
$353K 0.01%
+3,375
New +$353K
CADE icon
1142
Cadence Bank
CADE
$7.04B
$351K 0.01%
+11,152
New +$351K
GNC
1143
DELISTED
GNC Holdings, Inc.
GNC
$344K 0.01%
+93,102
New +$344K
XEC
1144
DELISTED
CIMAREX ENERGY CO
XEC
$343K 0.01%
+2,811
New +$343K
BOX icon
1145
Box
BOX
$4.86B
$342K 0.01%
+16,167
New +$342K
NCI
1146
DELISTED
Navigant Consulting, Inc.
NCI
$341K 0.01%
+17,566
New +$341K
HRG
1147
DELISTED
HRG Group, Inc.
HRG
$339K 0.01%
+20,027
New +$339K
TWOU
1148
DELISTED
2U, Inc.
TWOU
$337K 0.01%
+174
New +$337K
UFCS icon
1149
United Fire Group
UFCS
$789M
$335K 0.01%
+7,349
New +$335K
UMBF icon
1150
UMB Financial
UMBF
$9.54B
$334K 0.01%
+4,646
New +$334K