AAMU

Amundi Asset Management US Portfolio holdings

AUM $131B
1-Year Return 73.56%
This Quarter Return
+7.36%
1 Year Return
+73.56%
3 Year Return
+96.82%
5 Year Return
+179.26%
10 Year Return
AUM
$131B
AUM Growth
+$13.1B
Cap. Flow
+$6.14B
Cap. Flow %
4.7%
Top 10 Hldgs %
19.26%
Holding
1,593
New
120
Increased
673
Reduced
527
Closed
74

Sector Composition

1 Technology 22.45%
2 Consumer Discretionary 14.8%
3 Healthcare 13.32%
4 Financials 12.63%
5 Industrials 9.63%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
LMND icon
501
Lemonade
LMND
$3.9B
$37.2M 0.03%
399,239
-241,690
-38% -$22.5M
MSA icon
502
Mine Safety
MSA
$6.67B
$37.2M 0.03%
247,715
NTRA icon
503
Natera
NTRA
$24.2B
$37.2M 0.03%
365,927
+19,016
+5% +$1.93M
AGCO icon
504
AGCO
AGCO
$8.23B
$37.1M 0.03%
258,366
+17,470
+7% +$2.51M
HRL icon
505
Hormel Foods
HRL
$14B
$37.1M 0.03%
775,473
+46,091
+6% +$2.2M
KL
506
DELISTED
Kirkland Lake Gold Ltd Ordinary
KL
$36.8M 0.03%
1,087,548
+10,591
+1% +$358K
TTD icon
507
Trade Desk
TTD
$25.6B
$36.7M 0.03%
562,850
-98,540
-15% -$6.42M
OTIS icon
508
Otis Worldwide
OTIS
$34.3B
$36.6M 0.03%
535,212
-1,253,973
-70% -$85.8M
ENPH icon
509
Enphase Energy
ENPH
$4.96B
$36.6M 0.03%
225,785
-33,169
-13% -$5.38M
GVA icon
510
Granite Construction
GVA
$4.74B
$36.6M 0.03%
908,010
+33,864
+4% +$1.36M
NVO icon
511
Novo Nordisk
NVO
$241B
$36.2M 0.03%
1,075,160
-1,347,118
-56% -$45.4M
EQR icon
512
Equity Residential
EQR
$25.4B
$36.1M 0.03%
503,791
+4,018
+0.8% +$288K
PFG icon
513
Principal Financial Group
PFG
$17.8B
$35.9M 0.03%
598,961
+218,881
+58% +$13.1M
MWA icon
514
Mueller Water Products
MWA
$4.18B
$35.7M 0.03%
2,568,862
-961,738
-27% -$13.4M
TRI icon
515
Thomson Reuters
TRI
$79.2B
$35.4M 0.03%
389,655
+39,467
+11% +$3.59M
AFRM icon
516
Affirm
AFRM
$28.8B
$35.2M 0.03%
+498,183
New +$35.2M
EXR icon
517
Extra Space Storage
EXR
$30.8B
$34.8M 0.03%
262,372
-14,870
-5% -$1.97M
UPST icon
518
Upstart Holdings
UPST
$6.63B
$34.4M 0.03%
+266,903
New +$34.4M
BFAM icon
519
Bright Horizons
BFAM
$6.62B
$34.3M 0.03%
200,066
+149,257
+294% +$25.6M
BN icon
520
Brookfield
BN
$99B
$34.1M 0.03%
955,798
+67,392
+8% +$2.41M
UBER icon
521
Uber
UBER
$199B
$34.1M 0.03%
625,624
-586,076
-48% -$31.9M
AJG icon
522
Arthur J. Gallagher & Co
AJG
$76.7B
$34M 0.03%
272,368
+38,648
+17% +$4.82M
ONC
523
BeOne Medicines Ltd. American Depositary Shares
ONC
$38.6B
$34M 0.03%
97,572
-4,843
-5% -$1.69M
WYNN icon
524
Wynn Resorts
WYNN
$12.8B
$33.7M 0.03%
269,118
+54,417
+25% +$6.82M
AQUA
525
DELISTED
Evoqua Water Technologies Corp. Common Stock
AQUA
$33.5M 0.03%
1,273,492
+684,199
+116% +$18M