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
+3.83%
1 Year Return
+20.64%
3 Year Return
+85.17%
5 Year Return
+151.66%
10 Year Return
+378.7%
AUM
$200B
AUM Growth
+$6.53B
Cap. Flow
-$148M
Cap. Flow %
-0.07%
Top 10 Hldgs %
13.86%
Holding
3,885
New
278
Increased
1,962
Reduced
1,358
Closed
166

Sector Composition

1 Technology 15.26%
2 Financials 14%
3 Healthcare 11.93%
4 Consumer Discretionary 9.08%
5 Industrials 8.65%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
EGRX
1501
DELISTED
Eagle Pharmaceuticals, Inc.
EGRX
$10.5M 0.01%
133,071
+18,335
+16% +$1.45M
BTI icon
1502
British American Tobacco
BTI
$123B
$10.5M 0.01%
153,110
+6,368
+4% +$437K
AIV
1503
Aimco
AIV
$1.07B
$10.5M 0.01%
1,830,970
+26,957
+1% +$154K
BANF icon
1504
BancFirst
BANF
$4.45B
$10.5M 0.01%
216,728
+17,354
+9% +$838K
TGI
1505
DELISTED
Triumph Group
TGI
$10.4M 0.01%
330,626
-45,245
-12% -$1.43M
SXT icon
1506
Sensient Technologies
SXT
$4.52B
$10.4M 0.01%
129,646
+4,827
+4% +$389K
WFM
1507
DELISTED
Whole Foods Market Inc
WFM
$10.4M 0.01%
255,509
+89,003
+53% +$3.63M
DVA icon
1508
DaVita
DVA
$9.52B
$10.4M 0.01%
160,690
+10,429
+7% +$675K
BOH icon
1509
Bank of Hawaii
BOH
$2.7B
$10.4M 0.01%
125,054
+6,011
+5% +$499K
BGC
1510
DELISTED
General Cable Corporation
BGC
$10.4M 0.01%
634,016
+89,419
+16% +$1.46M
PMC
1511
DELISTED
PharMerica Corporation
PMC
$10.4M 0.01%
394,316
-306,204
-44% -$8.04M
AROC icon
1512
Archrock
AROC
$4.29B
$10.3M 0.01%
907,608
+196,255
+28% +$2.24M
SPAB icon
1513
SPDR Portfolio Aggregate Bond ETF
SPAB
$8.67B
$10.3M 0.01%
356,862
-35,782
-9% -$1.03M
UBS icon
1514
UBS Group
UBS
$129B
$10.3M 0.01%
603,955
+61,627
+11% +$1.05M
VSAT icon
1515
Viasat
VSAT
$4.1B
$10.2M 0.01%
154,735
+5,651
+4% +$374K
NSIT icon
1516
Insight Enterprises
NSIT
$3.9B
$10.2M 0.01%
256,079
+46,711
+22% +$1.87M
IJS icon
1517
iShares S&P Small-Cap 600 Value ETF
IJS
$6.63B
$10.2M 0.01%
146,374
-36,870
-20% -$2.58M
IVOO icon
1518
Vanguard S&P Mid-Cap 400 ETF
IVOO
$2.81B
$10.2M 0.01%
173,550
+145,172
+512% +$8.53M
SLGN icon
1519
Silgan Holdings
SLGN
$4.71B
$10.2M 0.01%
319,744
+77,246
+32% +$2.45M
ARI
1520
Apollo Commercial Real Estate
ARI
$1.51B
$10.1M 0.01%
+546,574
New +$10.1M
NWLI
1521
DELISTED
National Western Life Group, Inc. Class A
NWLI
$10.1M 0.01%
31,695
-10,378
-25% -$3.32M
EWH icon
1522
iShares MSCI Hong Kong ETF
EWH
$737M
$10.1M 0.01%
430,722
+406,850
+1,704% +$9.53M
EVTC icon
1523
Evertec
EVTC
$2.14B
$10.1M 0.01%
583,177
+59,814
+11% +$1.03M
ENSG icon
1524
The Ensign Group
ENSG
$9.69B
$10.1M 0.01%
495,208
+200,909
+68% +$4.09M
PIPR icon
1525
Piper Sandler
PIPR
$6.12B
$10.1M 0.01%
168,176
-5,061
-3% -$303K