Ameriprise

Ameriprise Portfolio holdings

AUM $406B
1-Year Return 20.64%
 

Ameriprise Financial, Inc., founded in 1894 as Investors Syndicate and headquartered in Minneapolis, Minnesota, is a leading financial services firm specializing in wealth management, financial planning, and insurance, managing hundreds of billions in assets for individual and institutional clients. Evolving from its roots in investment certificates, it now offers a comprehensive suite of services, including retirement planning, annuities, mutual funds, and advisory solutions, delivered through a network of over 10,000 financial advisors across the U.S. Known for its client-first approach, Ameriprise became independent in 2005 after spinning off from American Express, focusing on personalized advice and robust digital tools to compete in a crowded market. With a strong emphasis on long-term relationships and financial security, Ameriprise has grown into a trusted name in the retail investment and insurance sectors.

This Quarter Return
-13.28%
1 Year Return
+20.64%
3 Year Return
+85.17%
5 Year Return
+151.66%
10 Year Return
+378.7%
AUM
$287B
AUM Growth
-$52.3B
Cap. Flow
-$2.56B
Cap. Flow %
-0.89%
Top 10 Hldgs %
14.09%
Holding
4,073
New
136
Increased
1,634
Reduced
1,970
Closed
189

Top Sells

1
MDT icon
Medtronic
MDT
+$454M
2
LLY icon
Eli Lilly
LLY
+$379M
3
AAPL icon
Apple
AAPL
+$356M
4
EOG icon
EOG Resources
EOG
+$312M
5
TGT icon
Target
TGT
+$279M

Sector Composition

1 Technology 20.82%
2 Healthcare 12.74%
3 Financials 11.16%
4 Industrials 8.52%
5 Consumer Discretionary 7.02%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
LYV icon
651
Live Nation Entertainment
LYV
$39.6B
$59.6M 0.02%
722,251
+145,742
+25% +$12M
RYAAY icon
652
Ryanair
RYAAY
$31.1B
$59.5M 0.02%
2,226,608
+20,910
+0.9% +$559K
PXH icon
653
Invesco FTSE RAFI Emerging Markets ETF
PXH
$1.62B
$59.3M 0.02%
3,279,798
+42,899
+1% +$775K
IP icon
654
International Paper
IP
$24.8B
$58.9M 0.02%
1,413,525
-258,566
-15% -$10.8M
WEX icon
655
WEX
WEX
$5.83B
$58.9M 0.02%
392,240
-32,458
-8% -$4.88M
MGV icon
656
Vanguard Mega Cap Value ETF
MGV
$9.9B
$58.8M 0.02%
610,867
-51,364
-8% -$4.94M
PPL icon
657
PPL Corp
PPL
$26.3B
$58.7M 0.02%
2,166,746
+689,865
+47% +$18.7M
BSX.PRA
658
DELISTED
Boston Scientific Corporation 5.50% Mandatory Convertible Preferred Stock, Series A
BSX.PRA
$58.6M 0.02%
577,050
+259,800
+82% +$26.4M
STLD icon
659
Steel Dynamics
STLD
$19.3B
$58.3M 0.02%
881,482
+297,302
+51% +$19.7M
ABCB icon
660
Ameris Bancorp
ABCB
$5.1B
$58.3M 0.02%
1,450,046
+21,803
+2% +$876K
MCHI icon
661
iShares MSCI China ETF
MCHI
$8.07B
$58.1M 0.02%
1,041,630
-158,124
-13% -$8.82M
EEMV icon
662
iShares MSCI Emerging Markets Min Vol Factor ETF
EEMV
$4.65B
$58.1M 0.02%
1,046,657
+21,740
+2% +$1.21M
HLMN icon
663
Hillman Solutions
HLMN
$1.91B
$57.8M 0.02%
6,688,876
+2,745,026
+70% +$23.7M
MAR icon
664
Marriott International Class A Common Stock
MAR
$71.3B
$57.4M 0.02%
422,135
-97,247
-19% -$13.2M
SPHQ icon
665
Invesco S&P 500 Quality ETF
SPHQ
$15.1B
$57.1M 0.02%
1,359,635
+365,147
+37% +$15.3M
PRGO icon
666
Perrigo
PRGO
$3.04B
$57M 0.02%
1,439,416
-86,905
-6% -$3.44M
VIAV icon
667
Viavi Solutions
VIAV
$2.67B
$56.8M 0.02%
4,328,407
+119,076
+3% +$1.56M
BDXB
668
DELISTED
Becton, Dickinson and Company Depositary Shares, each Representing a 1/20th Interest in a Share of 6.00% Mandatory Convertible Preferred Stock, Series B
BDXB
$56.5M 0.02%
1,136,098
-14,641
-1% -$728K
ROK icon
669
Rockwell Automation
ROK
$38.3B
$56.4M 0.02%
317,908
+26,603
+9% +$4.72M
GSK icon
670
GSK
GSK
$81.6B
$56.2M 0.02%
1,032,087
+60,585
+6% +$3.3M
STX icon
671
Seagate
STX
$40.7B
$56.2M 0.02%
790,889
+64,819
+9% +$4.6M
DSGX icon
672
Descartes Systems
DSGX
$9.07B
$56.1M 0.02%
935,319
-90,870
-9% -$5.45M
DHR.PRB
673
DELISTED
Danaher Corporation 5.00% Mandatory Convertible Preferred Stock, Series B
DHR.PRB
$56M 0.02%
41,950
-19,300
-32% -$25.8M
DON icon
674
WisdomTree US MidCap Dividend Fund
DON
$3.79B
$56M 0.02%
1,434,624
+10,647
+0.7% +$416K
SPSB icon
675
SPDR Portfolio Short Term Corporate Bond ETF
SPSB
$8.12B
$56M 0.02%
1,880,166
+235,420
+14% +$7.01M