ARMC

American Research & Management Company Portfolio holdings

AUM $362M
1-Year Return 8.06%
This Quarter Return
-4.87%
1 Year Return
-8.06%
3 Year Return
+35.07%
5 Year Return
+60.97%
10 Year Return
AUM
$362M
AUM Growth
-$26.9M
Cap. Flow
-$2.52M
Cap. Flow %
-0.7%
Top 10 Hldgs %
32.46%
Holding
471
New
47
Increased
54
Reduced
92
Closed
46

Sector Composition

1 Technology 22.52%
2 Healthcare 14.01%
3 Financials 12.9%
4 Consumer Staples 12.61%
5 Energy 7.96%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
FIS icon
201
Fidelity National Information Services
FIS
$35.9B
$42K 0.01%
550
EMLC icon
202
VanEck JP Morgan EM Local Currency Bond ETF
EMLC
$3.7B
$40K 0.01%
1,750
-5,900
-77% -$135K
SO icon
203
Southern Company
SO
$101B
$40K 0.01%
587
IMO icon
204
Imperial Oil
IMO
$44.4B
$39K 0.01%
900
LQD icon
205
iShares iBoxx $ Investment Grade Corporate Bond ETF
LQD
$29.8B
$39K 0.01%
+380
New +$39K
MAA icon
206
Mid-America Apartment Communities
MAA
$17B
$37K 0.01%
+240
New +$37K
IRM icon
207
Iron Mountain
IRM
$27.2B
$36K 0.01%
808
FTV icon
208
Fortive
FTV
$16.2B
$35K 0.01%
600
FDS icon
209
Factset
FDS
$14B
$34K 0.01%
85
LTHM
210
DELISTED
Livent Corporation
LTHM
$34K 0.01%
1,100
+100
+10% +$3.09K
MS icon
211
Morgan Stanley
MS
$236B
$33K 0.01%
414
+14
+4% +$1.12K
NOC icon
212
Northrop Grumman
NOC
$83.2B
$33K 0.01%
70
SCCO icon
213
Southern Copper
SCCO
$83.6B
$33K 0.01%
777
+231
+42% +$9.81K
ACN icon
214
Accenture
ACN
$159B
$32K 0.01%
124
SBUX icon
215
Starbucks
SBUX
$97.1B
$32K 0.01%
375
+50
+15% +$4.27K
STT icon
216
State Street
STT
$32B
$32K 0.01%
525
-25
-5% -$1.52K
ZTS icon
217
Zoetis
ZTS
$67.9B
$32K 0.01%
215
AGG icon
218
iShares Core US Aggregate Bond ETF
AGG
$131B
$31K 0.01%
325
EXAS icon
219
Exact Sciences
EXAS
$10.2B
$31K 0.01%
950
IVV icon
220
iShares Core S&P 500 ETF
IVV
$664B
$31K 0.01%
86
-11
-11% -$3.97K
CFG icon
221
Citizens Financial Group
CFG
$22.3B
$30K 0.01%
882
FFIV icon
222
F5
FFIV
$18.1B
$30K 0.01%
210
-130
-38% -$18.6K
OGN icon
223
Organon & Co
OGN
$2.7B
$30K 0.01%
1,278
-122
-9% -$2.86K
TGT icon
224
Target
TGT
$42.3B
$30K 0.01%
200
BSX icon
225
Boston Scientific
BSX
$159B
$29K 0.01%
740
+40
+6% +$1.57K