AIP

Ameritas Investment Partners Portfolio holdings

AUM $3.17B
1-Year Return 20.23%
This Quarter Return
+11.05%
1 Year Return
+20.23%
3 Year Return
+87.65%
5 Year Return
+163.29%
10 Year Return
+366.97%
AUM
$2.92B
AUM Growth
+$183M
Cap. Flow
-$41.1M
Cap. Flow %
-1.41%
Top 10 Hldgs %
18.71%
Holding
3,120
New
30
Increased
248
Reduced
624
Closed
59

Sector Composition

1 Technology 20.38%
2 Industrials 10.62%
3 Consumer Discretionary 10.1%
4 Financials 9.26%
5 Healthcare 8.32%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TDS icon
1451
Telephone and Data Systems
TDS
$4.51B
$158K 0.01%
9,837
ZETA icon
1452
Zeta Global
ZETA
$4.84B
$157K 0.01%
14,391
ARI
1453
Apollo Commercial Real Estate
ARI
$1.51B
$157K 0.01%
14,116
ROIC
1454
DELISTED
Retail Opportunity Investments Corp.
ROIC
$157K 0.01%
12,239
NTCT icon
1455
NETSCOUT
NTCT
$1.8B
$157K 0.01%
7,183
DHT icon
1456
DHT Holdings
DHT
$1.98B
$157K 0.01%
13,636
LUMN icon
1457
Lumen
LUMN
$6.21B
$156K 0.01%
100,196
AKRO icon
1458
Akero Therapeutics
AKRO
$3.48B
$156K 0.01%
6,175
+1,030
+20% +$26K
BORR
1459
Borr Drilling
BORR
$862M
$156K 0.01%
22,746
IP icon
1460
International Paper
IP
$24.3B
$156K 0.01%
3,993
KURA icon
1461
Kura Oncology
KURA
$711M
$156K 0.01%
7,304
MSGE icon
1462
Madison Square Garden
MSGE
$2.1B
$155K 0.01%
3,965
-332
-8% -$13K
HLX icon
1463
Helix Energy Solutions
HLX
$914M
$155K 0.01%
14,305
COHU icon
1464
Cohu
COHU
$964M
$155K 0.01%
4,642
L icon
1465
Loews
L
$20.3B
$154K 0.01%
1,971
-163
-8% -$12.8K
HYLB icon
1466
Xtrackers USD High Yield Corporate Bond ETF
HYLB
$3.93B
$154K 0.01%
4,303
-275
-6% -$9.82K
CAG icon
1467
Conagra Brands
CAG
$9.18B
$153K 0.01%
5,170
-487
-9% -$14.4K
AMCR icon
1468
Amcor
AMCR
$19.1B
$153K 0.01%
16,061
DFIN icon
1469
Donnelley Financial Solutions
DFIN
$1.5B
$152K 0.01%
2,459
CSGS icon
1470
CSG Systems International
CSGS
$1.86B
$152K 0.01%
2,955
-320
-10% -$16.5K
ALPN
1471
DELISTED
Alpine Immune Sciences, Inc. Common Stock
ALPN
$152K 0.01%
3,835
+464
+14% +$18.4K
RVTY icon
1472
Revvity
RVTY
$9.62B
$152K 0.01%
1,446
RXST icon
1473
RxSight
RXST
$381M
$152K 0.01%
2,943
ROL icon
1474
Rollins
ROL
$27.8B
$151K 0.01%
3,270
FCAL icon
1475
First Trust California Municipal High income ETF
FCAL
$198M
$151K 0.01%
3,046
-21
-0.7% -$1.04K