AB

Amalgamated Bank Portfolio holdings

AUM $13B
1-Year Return 23.92%
This Quarter Return
+4.65%
1 Year Return
+23.92%
3 Year Return
+105.94%
5 Year Return
+196.1%
10 Year Return
+496.3%
AUM
$4.28B
AUM Growth
+$158M
Cap. Flow
+$8.85M
Cap. Flow %
0.21%
Top 10 Hldgs %
16.71%
Holding
1,841
New
144
Increased
1,191
Reduced
462
Closed
42

Sector Composition

1 Technology 17.93%
2 Financials 15.02%
3 Healthcare 13.63%
4 Consumer Discretionary 10.12%
5 Industrials 9.95%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CWST icon
1326
Casella Waste Systems
CWST
$5.81B
$316K 0.01%
7,982
+2,185
+38% +$86.5K
MYGN icon
1327
Myriad Genetics
MYGN
$642M
$316K 0.01%
11,363
+617
+6% +$17.2K
ACIA
1328
DELISTED
Acacia Communications, Inc. Common Stock
ACIA
$316K 0.01%
6,708
+2,791
+71% +$131K
UE icon
1329
Urban Edge Properties
UE
$2.64B
$315K 0.01%
18,153
+1,744
+11% +$30.3K
BYND icon
1330
Beyond Meat
BYND
$191M
$311K 0.01%
+1,938
New +$311K
LTC
1331
LTC Properties
LTC
$1.68B
$311K 0.01%
6,801
+997
+17% +$45.6K
NSA icon
1332
National Storage Affiliates Trust
NSA
$2.45B
$311K 0.01%
10,744
+2,167
+25% +$62.7K
SUPN icon
1333
Supernus Pharmaceuticals
SUPN
$2.59B
$310K 0.01%
9,356
+1,458
+18% +$48.3K
IBTX
1334
DELISTED
Independent Bank Group, Inc.
IBTX
$310K 0.01%
5,647
+784
+16% +$43K
DHC
1335
Diversified Healthcare Trust
DHC
$1.05B
$309K 0.01%
37,363
-9,868
-21% -$81.6K
ESGR
1336
DELISTED
Enstar Group
ESGR
$309K 0.01%
1,773
+71
+4% +$12.4K
SAIL
1337
DELISTED
SailPoint Technologies Holdings, Inc. Common Stock
SAIL
$309K 0.01%
15,409
+4,755
+45% +$95.4K
ABCB icon
1338
Ameris Bancorp
ABCB
$5.07B
$307K 0.01%
7,844
+1,188
+18% +$46.5K
ABG icon
1339
Asbury Automotive
ABG
$4.86B
$307K 0.01%
3,643
+409
+13% +$34.5K
RETA
1340
DELISTED
Reata Pharmaceuticals, Inc. Class A Common Stock
RETA
$307K 0.01%
3,253
+322
+11% +$30.4K
MDRX
1341
DELISTED
Veradigm Inc. Common Stock
MDRX
$306K 0.01%
26,295
-31
-0.1% -$361
ROIC
1342
DELISTED
Retail Opportunity Investments Corp.
ROIC
$304K 0.01%
17,744
+1,156
+7% +$19.8K
SCL icon
1343
Stepan Co
SCL
$1.09B
$303K 0.01%
3,299
+295
+10% +$27.1K
PEGI
1344
DELISTED
Pattern Energy Group Inc. Class A
PEGI
$303K 0.01%
13,139
+1,979
+18% +$45.6K
IRWD icon
1345
Ironwood Pharmaceuticals
IRWD
$187M
$303K 0.01%
27,687
+2,275
+9% +$24.9K
PRA icon
1346
ProAssurance
PRA
$1.22B
$303K 0.01%
8,383
+543
+7% +$19.6K
ARES icon
1347
Ares Management
ARES
$39.3B
$302K 0.01%
+11,546
New +$302K
CSGS icon
1348
CSG Systems International
CSGS
$1.82B
$302K 0.01%
6,194
+860
+16% +$41.9K
RNST icon
1349
Renasant Corp
RNST
$3.67B
$302K 0.01%
8,416
+1,773
+27% +$63.6K
WSBC icon
1350
WesBanco
WSBC
$3.07B
$301K 0.01%
7,806
+594
+8% +$22.9K