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
+1.19%
1 Year Return
+20.64%
3 Year Return
+85.17%
5 Year Return
+151.66%
10 Year Return
+378.7%
AUM
$176B
AUM Growth
+$1.36B
Cap. Flow
-$322M
Cap. Flow %
-0.18%
Top 10 Hldgs %
12.35%
Holding
4,332
New
373
Increased
2,047
Reduced
1,359
Closed
181

Sector Composition

1 Healthcare 15.13%
2 Technology 14.77%
3 Financials 14.23%
4 Consumer Discretionary 9.46%
5 Industrials 8.72%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
IYR icon
676
iShares US Real Estate ETF
IYR
$3.66B
$33.8M 0.02%
474,669
+115,001
+32% +$8.2M
TOL icon
677
Toll Brothers
TOL
$13.5B
$33.8M 0.02%
884,058
+459,933
+108% +$17.6M
ZD icon
678
Ziff Davis
ZD
$1.61B
$33.8M 0.02%
571,460
-1,222
-0.2% -$72.2K
TRU icon
679
TransUnion
TRU
$18B
$33.5M 0.02%
+1,336,160
New +$33.5M
BEN icon
680
Franklin Resources
BEN
$12.7B
$33.5M 0.02%
683,144
-65,695
-9% -$3.22M
WST icon
681
West Pharmaceutical
WST
$18.3B
$33.5M 0.02%
576,051
-15,342
-3% -$891K
BSV icon
682
Vanguard Short-Term Bond ETF
BSV
$38.9B
$33.4M 0.02%
416,780
-586,444
-58% -$47M
FLOT icon
683
iShares Floating Rate Bond ETF
FLOT
$8.99B
$33.4M 0.02%
659,490
-1,098,483
-62% -$55.6M
DVY icon
684
iShares Select Dividend ETF
DVY
$20.5B
$33.4M 0.02%
446,323
+3,284
+0.7% +$246K
WSM icon
685
Williams-Sonoma
WSM
$24.3B
$33.3M 0.02%
810,030
+2,506
+0.3% +$103K
COHR icon
686
Coherent
COHR
$16.8B
$33.3M 0.02%
1,753,224
+254,340
+17% +$4.83M
MLI icon
687
Mueller Industries
MLI
$11.1B
$33.2M 0.02%
1,913,942
+79,616
+4% +$1.38M
PNC.PRP
688
DELISTED
THE PNC FINANCIAL SERVICES GROUP, INC.
PNC.PRP
$33.2M 0.02%
1,209,815
+215,808
+22% +$5.92M
ROG icon
689
Rogers Corp
ROG
$1.51B
$33.2M 0.02%
501,565
-42,275
-8% -$2.8M
SSD icon
690
Simpson Manufacturing
SSD
$7.66B
$33.1M 0.02%
973,096
+68,571
+8% +$2.33M
JACK icon
691
Jack in the Box
JACK
$356M
$33M 0.02%
374,050
-5,520
-1% -$487K
ELS icon
692
Equity Lifestyle Properties
ELS
$11.7B
$33M 0.02%
1,253,702
-56,270
-4% -$1.48M
PDCE
693
DELISTED
PDC Energy, Inc.
PDCE
$32.9M 0.02%
613,943
-46,787
-7% -$2.51M
TMX
694
DELISTED
Terminix Global Holdings, Inc.
TMX
$32.8M 0.02%
1,354,744
+1,060,024
+360% +$25.7M
KEX icon
695
Kirby Corp
KEX
$4.69B
$32.8M 0.02%
428,103
-40,059
-9% -$3.07M
VIAB
696
DELISTED
Viacom Inc. Class B
VIAB
$32.8M 0.02%
507,034
-253,877
-33% -$16.4M
LHO
697
DELISTED
LaSalle Hotel Properties
LHO
$32.8M 0.02%
924,262
+53,587
+6% +$1.9M
IT icon
698
Gartner
IT
$19.2B
$32.8M 0.02%
382,112
-33,660
-8% -$2.89M
HSY icon
699
Hershey
HSY
$38.3B
$32.7M 0.02%
367,994
-246,197
-40% -$21.9M
CASY icon
700
Casey's General Stores
CASY
$20.2B
$32.7M 0.02%
341,324
-181,313
-35% -$17.4M