AA

AlphaCentric Advisors Portfolio holdings

AUM $100M
This Quarter Return
-6.53%
1 Year Return
+18.84%
3 Year Return
5 Year Return
10 Year Return
AUM
$97.4M
AUM Growth
Cap. Flow
+$97.4M
Cap. Flow %
100%
Top 10 Hldgs %
32.96%
Holding
184
New
184
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Healthcare 43.93%
2 Real Estate 12%
3 Financials 8.32%
4 Technology 3.61%
5 Industrials 3.28%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
PCK
151
DELISTED
Pimco California Municipal Income Fund II
PCK
$90K 0.09%
+14,000
New +$90K
CF icon
152
CF Industries
CF
$14.1B
$87K 0.09%
+899
New +$87K
EWZ icon
153
iShares MSCI Brazil ETF
EWZ
$5.38B
$87K 0.09%
+2,928
New +$87K
FLRN icon
154
SPDR Bloomberg Investment Grade Floating Rate ETF
FLRN
$2.77B
$86K 0.09%
+2,848
New +$86K
DOW icon
155
Dow Inc
DOW
$17.2B
$83K 0.09%
+1,885
New +$83K
COF icon
156
Capital One
COF
$142B
$80K 0.08%
+871
New +$80K
WHR icon
157
Whirlpool
WHR
$5.07B
$79K 0.08%
+585
New +$79K
SYF icon
158
Synchrony
SYF
$28B
$78K 0.08%
+2,772
New +$78K
PMX
159
DELISTED
PIMCO Municipal Income Fund III
PMX
$77K 0.08%
+10,000
New +$77K
IVZ icon
160
Invesco
IVZ
$9.61B
$76K 0.08%
+5,554
New +$76K
X
161
DELISTED
US Steel
X
$70K 0.07%
+3,887
New +$70K
DVN icon
162
Devon Energy
DVN
$23.1B
$66K 0.07%
+1,101
New +$66K
FNF icon
163
Fidelity National Financial
FNF
$15.9B
$66K 0.07%
+1,816
New +$66K
ECH icon
164
iShares MSCI Chile ETF
ECH
$699M
$65K 0.07%
+2,723
New +$65K
DDOG icon
165
Datadog
DDOG
$46.5B
$62K 0.06%
+694
New +$62K
MHI
166
DELISTED
Pioneer Municipal High Income Fund
MHI
$62K 0.06%
+7,500
New +$62K
WLK icon
167
Westlake Corp
WLK
$11B
$62K 0.06%
+714
New +$62K
ACI icon
168
Albertsons Companies
ACI
$10.8B
$62K 0.06%
+2,477
New +$62K
GMED icon
169
Globus Medical
GMED
$8.13B
$60K 0.06%
+1,000
New +$60K
DMB
170
BNY Mellon Municipal Bond Infrastructure Fund
DMB
$184M
$57K 0.06%
+5,000
New +$57K
BBWI icon
171
Bath & Body Works
BBWI
$6.19B
$56K 0.06%
+1,730
New +$56K
ENPH icon
172
Enphase Energy
ENPH
$4.84B
$56K 0.06%
+201
New +$56K
CLR
173
DELISTED
CONTINENTAL RESOURCES INC.
CLR
$54K 0.06%
+806
New +$54K
M icon
174
Macy's
M
$3.61B
$52K 0.05%
+3,328
New +$52K
MRNA icon
175
Moderna
MRNA
$9.19B
$51K 0.05%
+428
New +$51K