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
PNC icon
376
PNC Financial Services
PNC
$80.5B
$916K 0.01%
+10,167
New +$916K
WSTC
377
DELISTED
West Corporation
WSTC
$913K 0.01%
+41,358
New +$913K
WSBF icon
378
Waterstone Financial
WSBF
$276M
$910K 0.01%
53,577
+17,000
+46% +$289K
ANH
379
DELISTED
Anworth Mortgage Asset Corporation
ANH
$907K 0.01%
184,412
QEP
380
DELISTED
QEP RESOURCES, INC.
QEP
$901K 0.01%
46,128
-177,810
-79% -$3.47M
ROK icon
381
Rockwell Automation
ROK
$38.2B
$879K 0.01%
+7,182
New +$879K
BETR
382
DELISTED
Amplify Snack Brands, Inc.
BETR
$876K 0.01%
54,052
-39,913
-42% -$647K
CMCSA icon
383
Comcast
CMCSA
$125B
$871K 0.01%
26,248
-104,854
-80% -$3.48M
BNCN
384
DELISTED
BNC Bancorp
BNCN
$868K 0.01%
35,680
-2,346
-6% -$57.1K
NBHC icon
385
National Bank Holdings
NBHC
$1.49B
$861K 0.01%
36,852
EDU icon
386
New Oriental
EDU
$7.98B
$856K 0.01%
18,449
+11,899
+182% +$552K
IDT icon
387
IDT Corp
IDT
$1.64B
$836K 0.01%
57,289
+11,164
+24% +$163K
LION
388
DELISTED
Fidelity Southern Corporation
LION
$836K 0.01%
45,482
STT icon
389
State Street
STT
$32B
$832K 0.01%
+11,943
New +$832K
BSMX
390
DELISTED
Banco Santander México, S, A., Institución de Banca Múltiple, Grupo Financiero Santander México
BSMX
$832K 0.01%
94,580
+1,860
+2% +$16.4K
BSBR icon
391
Santander
BSBR
$40.6B
$830K 0.01%
129,352
MTSC
392
DELISTED
MTS Systems Corp
MTSC
$830K 0.01%
+18,021
New +$830K
NWBI icon
393
Northwest Bancshares
NWBI
$1.86B
$827K 0.01%
52,619
FIVN icon
394
FIVE9
FIVN
$2.06B
$826K 0.01%
52,705
-9,653
-15% -$151K
PHI icon
395
PLDT
PHI
$4.21B
$821K 0.01%
23,030
-4,520
-16% -$161K
MDP
396
DELISTED
Meredith Corporation
MDP
$820K 0.01%
15,763
-74,709
-83% -$3.89M
GCI icon
397
Gannett
GCI
$629M
$816K 0.01%
52,626
-47,289
-47% -$733K
NCMI icon
398
National CineMedia
NCMI
$411M
$812K 0.01%
5,519
-2,062
-27% -$303K
BUFF
399
DELISTED
Blue Buffalo Pet Products, Inc
BUFF
$805K 0.01%
33,881
+11,855
+54% +$282K
SCLN
400
DELISTED
Sciclone Pharmaceuticals Inc
SCLN
$803K 0.01%
+78,322
New +$803K