AIA

Allegis Investment Advisors Portfolio holdings

AUM $326M
1-Year Return 10.36%
This Quarter Return
-0.79%
1 Year Return
+10.36%
3 Year Return
5 Year Return
10 Year Return
AUM
$326M
AUM Growth
-$13M
Cap. Flow
-$8.72M
Cap. Flow %
-2.67%
Top 10 Hldgs %
38.07%
Holding
254
New
16
Increased
60
Reduced
123
Closed
42
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CBRL icon
151
Cracker Barrel
CBRL
$1.16B
$461K 0.14%
2,897
-838
-22% -$133K
AGNC icon
152
AGNC Investment
AGNC
$10.6B
$458K 0.14%
24,219
+250
+1% +$4.73K
MDP
153
DELISTED
Meredith Corporation
MDP
$457K 0.14%
8,495
+622
+8% +$33.5K
MET icon
154
MetLife
MET
$54.4B
$444K 0.14%
9,683
+5,003
+107% +$229K
BBBY
155
Bed Bath & Beyond, Inc.
BBBY
$503M
$435K 0.13%
+14,532
New +$435K
COST icon
156
Costco
COST
$424B
$431K 0.13%
2,287
-87
-4% -$16.4K
EXPE icon
157
Expedia Group
EXPE
$26.8B
$421K 0.13%
3,810
-1,035
-21% -$114K
BFK icon
158
BlackRock Municipal Income Trust
BFK
$424M
$410K 0.13%
31,807
DD icon
159
DuPont de Nemours
DD
$32.3B
$397K 0.12%
3,089
-225
-7% -$28.9K
KMB icon
160
Kimberly-Clark
KMB
$42.9B
$397K 0.12%
3,604
+246
+7% +$27.1K
BDCL
161
DELISTED
2Leveraged Long Exchange Traded Access Securities (E-TRACS) Linked to the Wells Fargo Business Dev
BDCL
$396K 0.12%
26,886
-914
-3% -$13.5K
TXN icon
162
Texas Instruments
TXN
$170B
$389K 0.12%
3,745
+20
+0.5% +$2.08K
HR icon
163
Healthcare Realty
HR
$6.15B
$378K 0.12%
14,282
-4,708
-25% -$125K
XOM icon
164
Exxon Mobil
XOM
$479B
$377K 0.12%
5,052
-522
-9% -$39K
BP icon
165
BP
BP
$88.4B
$368K 0.11%
9,757
-4,703
-33% -$177K
BAC icon
166
Bank of America
BAC
$375B
$363K 0.11%
12,090
-1,084
-8% -$32.5K
HYMB icon
167
SPDR Nuveen ICE High Yield Municipal Bond ETF
HYMB
$2.67B
$363K 0.11%
13,020
+3,984
+44% +$111K
SPSB icon
168
SPDR Portfolio Short Term Corporate Bond ETF
SPSB
$8.4B
$360K 0.11%
11,912
+4,982
+72% +$151K
EFV icon
169
iShares MSCI EAFE Value ETF
EFV
$27.8B
$349K 0.11%
6,406
+1,626
+34% +$88.6K
IP icon
170
International Paper
IP
$25.5B
$330K 0.1%
6,523
-1,631
-20% -$82.5K
AMGN icon
171
Amgen
AMGN
$151B
$320K 0.1%
+1,875
New +$320K
VCSH icon
172
Vanguard Short-Term Corporate Bond ETF
VCSH
$35.4B
$319K 0.1%
4,072
-6,054
-60% -$474K
FNG
173
DELISTED
AdvisorShares New Tech and Media ETF
FNG
$312K 0.1%
15,000
+4,000
+36% +$83.2K
CMI icon
174
Cummins
CMI
$55.2B
$301K 0.09%
1,859
-265
-12% -$42.9K
SPLB icon
175
SPDR Portfolio Long Term Corporate Bond ETF
SPLB
$902M
$300K 0.09%
+11,010
New +$300K