ACM

Allred Capital Management Portfolio holdings

AUM $267M
1-Year Return 15.69%
This Quarter Return
+7.98%
1 Year Return
+15.69%
3 Year Return
+60.07%
5 Year Return
+117.66%
10 Year Return
AUM
$202M
AUM Growth
-$18.9M
Cap. Flow
-$33.1M
Cap. Flow %
-16.37%
Top 10 Hldgs %
35.27%
Holding
853
New
1
Increased
56
Reduced
110
Closed
671

Sector Composition

1 Technology 21.06%
2 Healthcare 11.09%
3 Industrials 10.19%
4 Financials 8.9%
5 Consumer Staples 6.96%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CHI
476
Calamos Convertible Opportunities and Income Fund
CHI
$826M
-11,930
Closed -$170K
CHWY icon
477
Chewy
CHWY
$14.8B
-763
Closed -$64.6K
CHX
478
DELISTED
ChampionX
CHX
-2,210
Closed -$48K
CI icon
479
Cigna
CI
$80.5B
-307
Closed -$74.2K
CIM
480
Chimera Investment
CIM
$1.17B
-83
Closed -$3.18K
CM icon
481
Canadian Imperial Bank of Commerce
CM
$73.2B
-1,226
Closed -$60K
CMG icon
482
Chipotle Mexican Grill
CMG
$52.3B
-1,700
Closed -$48.3K
COHR icon
483
Coherent
COHR
$16.4B
-88
Closed -$6.02K
COLD icon
484
Americold
COLD
$3.77B
-456
Closed -$17.5K
COO icon
485
Cooper Companies
COO
$13.5B
-64
Closed -$6.15K
COP icon
486
ConocoPhillips
COP
$116B
-132
Closed -$6.99K
CP icon
487
Canadian Pacific Kansas City
CP
$67.8B
-515
Closed -$39.4K
CPRT icon
488
Copart
CPRT
$46.3B
-5,604
Closed -$152K
CRH icon
489
CRH
CRH
$74.6B
-55
Closed -$2.58K
CRNC icon
490
Cerence
CRNC
$415M
-487
Closed -$43.6K
CRSP icon
491
CRISPR Therapeutics
CRSP
$4.81B
-735
Closed -$89.6K
CSAN icon
492
Cosan
CSAN
$2.49B
-258
Closed -$4.17K
CSGP icon
493
CoStar Group
CSGP
$37B
-1,900
Closed -$156K
CSGS icon
494
CSG Systems International
CSGS
$1.85B
-51
Closed -$2.29K
CSQ icon
495
Calamos Strategic Total Return Fund
CSQ
$3.04B
-6,653
Closed -$115K
CSTL icon
496
Castle Biosciences
CSTL
$696M
-14
Closed -$958
CTSH icon
497
Cognizant
CTSH
$34.1B
-165
Closed -$12.9K
CVNA icon
498
Carvana
CVNA
$51B
-281
Closed -$73.7K
CVS icon
499
CVS Health
CVS
$92.3B
-798
Closed -$60K
CWB icon
500
SPDR Bloomberg Convertible Securities ETF
CWB
$4.48B
-1,000
Closed -$83.4K