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
LLL
151
DELISTED
L3 Technologies, Inc.
LLL
$10.9M 0.12%
72,083
+1,187
+2% +$179K
ADP icon
152
Automatic Data Processing
ADP
$120B
$10.8M 0.12%
+122,410
New +$10.8M
CL icon
153
Colgate-Palmolive
CL
$68.9B
$10.8M 0.12%
145,376
+133,125
+1,087% +$9.87M
LDOS icon
154
Leidos
LDOS
$22.8B
$10.7M 0.12%
+246,929
New +$10.7M
AAPL icon
155
Apple
AAPL
$3.55T
$10.5M 0.12%
373,164
-25,172
-6% -$711K
CHD icon
156
Church & Dwight Co
CHD
$23.3B
$10.5M 0.12%
218,632
-59,424
-21% -$2.85M
DISH
157
DELISTED
DISH Network Corp.
DISH
$9.93M 0.11%
181,307
-22,343
-11% -$1.22M
BC icon
158
Brunswick
BC
$4.31B
$9.91M 0.11%
203,096
+71,748
+55% +$3.5M
COTY icon
159
Coty
COTY
$3.89B
$9.79M 0.11%
416,522
-741,374
-64% -$17.4M
CINF icon
160
Cincinnati Financial
CINF
$24B
$9.57M 0.11%
126,902
-12,000
-9% -$905K
NAVI icon
161
Navient
NAVI
$1.36B
$9.35M 0.1%
645,955
+449,037
+228% +$6.5M
GGP
162
DELISTED
GGP Inc.
GGP
$8.88M 0.1%
321,787
+136,173
+73% +$3.76M
SLM icon
163
SLM Corp
SLM
$6.52B
$8.82M 0.1%
1,181,261
-110,013
-9% -$822K
LAMR icon
164
Lamar Advertising Co
LAMR
$13B
$8.42M 0.09%
128,847
-145,265
-53% -$9.49M
HE icon
165
Hawaiian Electric Industries
HE
$2.12B
$8.4M 0.09%
281,420
+41,847
+17% +$1.25M
HUN icon
166
Huntsman Corp
HUN
$1.93B
$8.39M 0.09%
515,860
+315,917
+158% +$5.14M
PPL icon
167
PPL Corp
PPL
$26.8B
$8.15M 0.09%
235,866
-727,874
-76% -$25.2M
XLNX
168
DELISTED
Xilinx Inc
XLNX
$8.14M 0.09%
149,781
-123,696
-45% -$6.72M
TFSL icon
169
TFS Financial
TFSL
$3.81B
$8.11M 0.09%
455,590
-180,686
-28% -$3.22M
RRC icon
170
Range Resources
RRC
$8.17B
$7.72M 0.09%
+199,151
New +$7.72M
RTX icon
171
RTX Corp
RTX
$209B
$7.54M 0.08%
+117,948
New +$7.54M
MAR icon
172
Marriott International Class A Common Stock
MAR
$72.1B
$7.32M 0.08%
+108,713
New +$7.32M
SYF icon
173
Synchrony
SYF
$28.1B
$7.32M 0.08%
261,355
+187,108
+252% +$5.24M
TAHO
174
DELISTED
Tahoe Resources Inc
TAHO
$7.21M 0.08%
562,237
+545,737
+3,307% +$7M
MSM icon
175
MSC Industrial Direct
MSM
$5.12B
$7.16M 0.08%
+97,462
New +$7.16M