AIP

Ameritas Investment Partners Portfolio holdings

AUM $3.17B
1-Year Return 20.23%
This Quarter Return
+3%
1 Year Return
+20.23%
3 Year Return
+87.65%
5 Year Return
+163.29%
10 Year Return
+366.97%
AUM
$2.06B
AUM Growth
+$44.1M
Cap. Flow
-$45.2M
Cap. Flow %
-2.19%
Top 10 Hldgs %
16.47%
Holding
3,170
New
223
Increased
852
Reduced
336
Closed
169

Sector Composition

1 Technology 12.97%
2 Financials 12.88%
3 Industrials 10.4%
4 Healthcare 9.78%
5 Consumer Discretionary 8.43%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BBBY
1376
DELISTED
Bed Bath & Beyond Inc
BBBY
$112K 0.01%
3,690
HMHC
1377
DELISTED
Houghton Mifflin Harcourt Company
HMHC
$112K 0.01%
9,080
-1,634
-15% -$20.2K
SYKE
1378
DELISTED
SYKES Enterprises Inc
SYKE
$112K 0.01%
3,342
HF
1379
DELISTED
HFF Inc.
HF
$112K 0.01%
3,226
+289
+10% +$10K
CYS
1380
DELISTED
CYS Investments Inc.
CYS
$112K 0.01%
13,300
+1,096
+9% +$9.23K
ACCO icon
1381
Acco Brands
ACCO
$361M
$111K 0.01%
9,496
+1,014
+12% +$11.9K
AXL icon
1382
American Axle
AXL
$697M
$111K 0.01%
7,128
+503
+8% +$7.83K
EGHT icon
1383
8x8 Inc
EGHT
$286M
$111K 0.01%
7,620
HUBG icon
1384
HUB Group
HUBG
$2.2B
$111K 0.01%
5,792
RMBS icon
1385
Rambus
RMBS
$9.26B
$111K 0.01%
9,734
+822
+9% +$9.37K
NEWR
1386
DELISTED
New Relic, Inc.
NEWR
$111K 0.01%
2,573
+862
+50% +$37.2K
GOV
1387
DELISTED
Government Properties Income Trust
GOV
$111K 0.01%
6,056
CSRA
1388
DELISTED
CSRA Inc.
CSRA
$111K 0.01%
3,481
AMC icon
1389
AMC Entertainment Holdings
AMC
$1.44B
$110K 0.01%
485
+38
+9% +$8.62K
BBT
1390
Beacon Financial Corporation
BBT
$2.17B
$110K 0.01%
3,121
+318
+11% +$11.2K
FOXF icon
1391
Fox Factory Holding Corp
FOXF
$1.14B
$110K 0.01%
3,076
+1,332
+76% +$47.6K
LQD icon
1392
iShares iBoxx $ Investment Grade Corporate Bond ETF
LQD
$30.8B
$110K 0.01%
915
TILE icon
1393
Interface
TILE
$1.66B
$110K 0.01%
5,588
VTI icon
1394
Vanguard Total Stock Market ETF
VTI
$536B
$110K 0.01%
885
+10
+1% +$1.24K
FGD icon
1395
First Trust Dow Jones Global Select Dividend Index Fund
FGD
$891M
$109K 0.01%
4,375
KRNY icon
1396
Kearny Financial
KRNY
$412M
$109K 0.01%
7,369
NVRI icon
1397
Enviri
NVRI
$983M
$109K 0.01%
6,801
SAIA icon
1398
Saia
SAIA
$8.33B
$109K 0.01%
2,126
BPFH
1399
DELISTED
Boston Private Financial Holdings, Inc.
BPFH
$109K 0.01%
7,071
MNTA
1400
DELISTED
Momenta Pharmaceuticals, Inc.
MNTA
$109K 0.01%
6,446
+834
+15% +$14.1K