AL

Airain Ltd Portfolio holdings

AUM $2.26B
1-Year Return 12.42%
This Quarter Return
+1.89%
1 Year Return
+12.42%
3 Year Return
-0.79%
5 Year Return
10 Year Return
AUM
$2.26B
AUM Growth
+$215M
Cap. Flow
+$225M
Cap. Flow %
9.94%
Top 10 Hldgs %
10.93%
Holding
1,194
New
423
Increased
211
Reduced
172
Closed
383

Sector Composition

1 Technology 19.14%
2 Consumer Discretionary 14.48%
3 Healthcare 11.98%
4 Industrials 10.47%
5 Energy 10.4%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MGNI icon
751
Magnite
MGNI
$3.61B
$204K 0.01%
+39,715
New +$204K
HSTO
752
DELISTED
Histogen Inc. Common Stock
HSTO
$204K 0.01%
177
+125
+240% +$144K
FLEX icon
753
Flex
FLEX
$20.9B
$203K 0.01%
+16,550
New +$203K
CNR
754
DELISTED
Cornerstone Building Brands, Inc.
CNR
$202K 0.01%
+12,099
New +$202K
ASNA
755
DELISTED
Ascena Retail Group, Inc.
ASNA
$202K 0.01%
+4,700
New +$202K
CMD
756
DELISTED
Cantel Medical Corporation
CMD
$201K 0.01%
+2,585
New +$201K
VFH icon
757
Vanguard Financials ETF
VFH
$12.8B
$200K 0.01%
+3,200
New +$200K
BVN icon
758
Compañía de Minas Buenaventura
BVN
$5.08B
$197K 0.01%
17,122
-72,008
-81% -$829K
EMKR
759
DELISTED
Emcore Corp
EMKR
$183K 0.01%
1,717
-1,888
-52% -$201K
OXSQ icon
760
Oxford Square Capital
OXSQ
$171M
$178K 0.01%
28,149
-506
-2% -$3.2K
ARNA
761
DELISTED
Arena Pharmaceuticals Inc
ARNA
$178K 0.01%
+10,535
New +$178K
COHU icon
762
Cohu
COHU
$959M
$177K 0.01%
11,268
-1,072
-9% -$16.8K
NAT icon
763
Nordic American Tanker
NAT
$688M
$175K 0.01%
27,834
+12,354
+80% +$77.7K
YIN
764
DELISTED
Yintech Investment Holdings Limited American Depositary Shares
YIN
$173K 0.01%
17,281
-11,153
-39% -$112K
CPN
765
DELISTED
Calpine Corporation
CPN
$172K 0.01%
12,730
-27,995
-69% -$378K
VNDA icon
766
Vanda Pharmaceuticals
VNDA
$269M
$170K 0.01%
10,455
-10,960
-51% -$178K
STRL icon
767
Sterling Infrastructure
STRL
$8.72B
$168K 0.01%
+12,863
New +$168K
HDSN icon
768
Hudson Technologies
HDSN
$450M
$162K 0.01%
19,167
+1,347
+8% +$11.4K
CZR
769
DELISTED
Caesars Entertainment Corporation
CZR
$161K 0.01%
+13,384
New +$161K
CHGG icon
770
Chegg
CHGG
$169M
$157K 0.01%
+12,789
New +$157K
OCSL icon
771
Oaktree Specialty Lending
OCSL
$1.23B
$154K 0.01%
+10,581
New +$154K
PRDO icon
772
Perdoceo Education
PRDO
$2.18B
$152K 0.01%
+15,885
New +$152K
SNDX icon
773
Syndax Pharmaceuticals
SNDX
$1.41B
$150K 0.01%
+10,751
New +$150K
NMFC icon
774
New Mountain Finance
NMFC
$1.12B
$149K 0.01%
+10,268
New +$149K
SPWH icon
775
Sportsman's Warehouse
SPWH
$121M
$141K 0.01%
+26,040
New +$141K