AI

Analytic Investors Portfolio holdings

AUM $8.93B
1-Year Return 13.53%
This Quarter Return
-0.51%
1 Year Return
+13.53%
3 Year Return
+42.16%
5 Year Return
10 Year Return
AUM
$8.93B
AUM Growth
+$473M
Cap. Flow
+$637M
Cap. Flow %
7.14%
Top 10 Hldgs %
23.75%
Holding
736
New
137
Increased
186
Reduced
199
Closed
153

Top Buys

1
MCD icon
McDonald's
MCD
$136M
2
WMT icon
Walmart
WMT
$107M
3
KO icon
Coca-Cola
KO
$101M
4
COST icon
Costco
COST
$86.2M
5
TGT icon
Target
TGT
$69.1M

Sector Composition

1 Consumer Staples 31.64%
2 Healthcare 14.82%
3 Technology 9.58%
4 Financials 9.03%
5 Consumer Discretionary 8.94%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TACO
326
DELISTED
Del Taco Restaurants, Inc. Common Stock
TACO
$1.38M 0.02%
+116,029
New +$1.38M
KFRC icon
327
Kforce
KFRC
$598M
$1.36M 0.02%
+66,263
New +$1.36M
FDP icon
328
Fresh Del Monte Produce
FDP
$1.72B
$1.35M 0.02%
+22,594
New +$1.35M
TG icon
329
Tredegar Corp
TG
$273M
$1.34M 0.02%
72,024
+39,080
+119% +$727K
VWR
330
DELISTED
VWR Corporation
VWR
$1.33M 0.01%
+46,917
New +$1.33M
CTXS
331
DELISTED
Citrix Systems Inc
CTXS
$1.32M 0.01%
19,504
-2,126
-10% -$144K
WMK icon
332
Weis Markets
WMK
$1.81B
$1.32M 0.01%
24,849
+18,637
+300% +$988K
NEO icon
333
NeoGenomics
NEO
$1.03B
$1.31M 0.01%
159,805
+25,206
+19% +$207K
MAC icon
334
Macerich
MAC
$4.74B
$1.3M 0.01%
+16,040
New +$1.3M
ATEN icon
335
A10 Networks
ATEN
$1.27B
$1.26M 0.01%
117,637
-24,729
-17% -$264K
KOF icon
336
Coca-Cola Femsa
KOF
$17.5B
$1.26M 0.01%
16,780
+3,140
+23% +$235K
LMNX
337
DELISTED
Luminex Corp
LMNX
$1.25M 0.01%
55,016
-25,094
-31% -$570K
CBRL icon
338
Cracker Barrel
CBRL
$1.18B
$1.24M 0.01%
9,355
-4,870
-34% -$644K
BJRI icon
339
BJ's Restaurants
BJRI
$742M
$1.23M 0.01%
34,714
MASI icon
340
Masimo
MASI
$8B
$1.22M 0.01%
20,454
+15,715
+332% +$935K
TAL icon
341
TAL Education Group
TAL
$6.17B
$1.21M 0.01%
102,600
-38,826
-27% -$458K
SE
342
DELISTED
Spectra Energy Corp Wi
SE
$1.21M 0.01%
+28,275
New +$1.21M
SGEN
343
DELISTED
Seagen Inc. Common Stock
SGEN
$1.21M 0.01%
22,340
+15,922
+248% +$860K
MTG icon
344
MGIC Investment
MTG
$6.55B
$1.2M 0.01%
+150,407
New +$1.2M
KE icon
345
Kimball Electronics
KE
$724M
$1.2M 0.01%
86,548
-799
-0.9% -$11.1K
VTRS icon
346
Viatris
VTRS
$12.2B
$1.2M 0.01%
+31,437
New +$1.2M
RGEN icon
347
Repligen
RGEN
$7.01B
$1.18M 0.01%
39,080
PGND
348
DELISTED
PRESS GANEY HOLDINGS INC COM STK (DE)
PGND
$1.18M 0.01%
29,195
PDLI
349
DELISTED
PDL BioPharma, Inc.
PDLI
$1.17M 0.01%
+348,837
New +$1.17M
ESGR
350
DELISTED
Enstar Group
ESGR
$1.16M 0.01%
7,031