AI

Analytic Investors Portfolio holdings

AUM $8.93B
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
+$8.93B
Cap. Flow
+$654M
Cap. Flow %
7.32%
Top 10 Hldgs %
23.75%
Holding
736
New
137
Increased
188
Reduced
198
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
PNW icon
51
Pinnacle West Capital
PNW
$10.6B
$49.1M 0.55%
646,300
-90,253
-12% -$6.86M
VR
52
DELISTED
Validus Hold Ltd
VR
$49M 0.55%
983,984
-8,323
-0.8% -$415K
CDW icon
53
CDW
CDW
$21.4B
$48.4M 0.54%
1,058,937
+191,242
+22% +$8.75M
UTHR icon
54
United Therapeutics
UTHR
$17.7B
$47.5M 0.53%
402,511
-112,840
-22% -$13.3M
PF
55
DELISTED
Pinnacle Foods, Inc.
PF
$46.6M 0.52%
929,714
-442,577
-32% -$22.2M
INTC icon
56
Intel
INTC
$105B
$45.9M 0.51%
1,216,831
+323,360
+36% +$12.2M
KR icon
57
Kroger
KR
$45.1B
$45.6M 0.51%
1,534,901
-485,567
-24% -$14.4M
PFE icon
58
Pfizer
PFE
$141B
$43.5M 0.49%
1,353,166
+1,019,046
+305% +$32.7M
ISRG icon
59
Intuitive Surgical
ISRG
$158B
$42.8M 0.48%
+530,838
New +$42.8M
AWH
60
DELISTED
Allied World Assurance Co Hld Lt
AWH
$42.2M 0.47%
1,045,190
-291,981
-22% -$11.8M
LSTR icon
61
Landstar System
LSTR
$4.55B
$42.1M 0.47%
617,877
-4,196
-0.7% -$286K
ATVI
62
DELISTED
Activision Blizzard Inc.
ATVI
$40.3M 0.45%
910,471
-914,605
-50% -$40.5M
CSCO icon
63
Cisco
CSCO
$268B
$39.8M 0.45%
1,253,161
+59,582
+5% +$1.89M
EQR icon
64
Equity Residential
EQR
$24.7B
$39.7M 0.44%
617,504
+324,253
+111% +$20.9M
RNR icon
65
RenaissanceRe
RNR
$11.6B
$38.7M 0.43%
321,922
+5,059
+2% +$608K
AXS icon
66
AXIS Capital
AXS
$7.72B
$38.4M 0.43%
706,127
-168,515
-19% -$9.16M
LUV icon
67
Southwest Airlines
LUV
$17B
$36.3M 0.41%
932,339
+893,302
+2,288% +$34.7M
ENH
68
DELISTED
Endurance Specialty Holdings Ltd
ENH
$35.8M 0.4%
547,071
-6,909
-1% -$452K
CSRA
69
DELISTED
CSRA Inc.
CSRA
$34.9M 0.39%
1,297,242
+563,189
+77% +$15.1M
ABBV icon
70
AbbVie
ABBV
$374B
$34.8M 0.39%
551,753
+328,919
+148% +$20.7M
MFA
71
MFA Financial
MFA
$1.05B
$33.8M 0.38%
1,128,133
-6,901
-0.6% -$206K
CMP icon
72
Compass Minerals
CMP
$789M
$33.6M 0.38%
456,173
-6,286
-1% -$463K
AHL
73
DELISTED
ASPEN Insurance Holding Limited
AHL
$33.3M 0.37%
715,496
-46,384
-6% -$2.16M
BR icon
74
Broadridge
BR
$29.3B
$32.5M 0.36%
479,397
-572,346
-54% -$38.8M
RTN
75
DELISTED
Raytheon Company
RTN
$32.1M 0.36%
235,588
+85,888
+57% +$11.7M