ACM

Anandar Capital Management Portfolio holdings

AUM $140M
This Quarter Return
+2.39%
1 Year Return
+4.95%
3 Year Return
5 Year Return
10 Year Return
AUM
$140M
AUM Growth
+$140M
Cap. Flow
-$21.6M
Cap. Flow %
-15.38%
Top 10 Hldgs %
64.52%
Holding
53
New
15
Increased
2
Reduced
6
Closed
13

Sector Composition

1 Technology 28.24%
2 Healthcare 16.41%
3 Consumer Discretionary 12.49%
4 Communication Services 8.62%
5 Industrials 6.04%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
QIHU
1
DELISTED
QIHOO 360 TECHNOLOGY CO LTD ADS RPSTG 3 CL A SHS
QIHU
$18.3M 4.19%
+250,000
New +$18.3M
EMC
2
DELISTED
EMC CORPORATION
EMC
$13.6M 3.12%
500,000
+75,000
+18% +$2.04M
STJ
3
DELISTED
St Jude Medical
STJ
$11.7M 2.68%
+150,000
New +$11.7M
VMW
4
DELISTED
VMware, Inc
VMW
$7.75M 1.78%
+135,400
New +$7.75M
PLAY icon
5
Dave & Buster's
PLAY
$888M
$7.73M 1.77%
165,300
-143,400
-46% -$6.71M
DK icon
6
Delek US
DK
$1.67B
$7.27M 1.67%
+550,000
New +$7.27M
LVNTA
7
DELISTED
Liberty Interactive Corporation Series A Liberty Ventures
LVNTA
$6.6M 1.51%
178,000
FBIN icon
8
Fortune Brands Innovations
FBIN
$7.02B
$6.09M 1.4%
105,000
-41,500
-28% -$2.41M
MDVN
9
DELISTED
MEDIVATION, INC.
MDVN
$6.03M 1.38%
+100,000
New +$6.03M
GLD icon
10
SPDR Gold Trust
GLD
$107B
$5.45M 1.25%
+43,100
New +$5.45M
MGP
11
DELISTED
MGM Growth Properties LLC Class A common shares representing limited liability company interests
MGP
$5.34M 1.22%
+200,000
New +$5.34M
EPC icon
12
Edgewell Personal Care
EPC
$1.12B
$4.64M 1.06%
+55,000
New +$4.64M
HUM icon
13
Humana
HUM
$36.5B
$4.5M 1.03%
+25,000
New +$4.5M
SIX
14
DELISTED
Six Flags Entertainment Corp.
SIX
$4.35M 1%
+75,000
New +$4.35M
HD icon
15
Home Depot
HD
$405B
$3.83M 0.88%
30,000
+5,000
+20% +$639K
ITC
16
DELISTED
ITC HOLDINGS CORP
ITC
$3.51M 0.81%
+75,000
New +$3.51M
AGN
17
DELISTED
Allergan plc
AGN
$3.47M 0.79%
15,000
-2,700
-15% -$624K
ASRT icon
18
Assertio
ASRT
$80.4M
$3.35M 0.77%
+170,500
New +$3.35M
HIFR
19
DELISTED
InfraREIT, Inc.
HIFR
$3.34M 0.77%
190,659
-190,659
-50% -$3.34M
CAKE icon
20
Cheesecake Factory
CAKE
$3.06B
$2.6M 0.6%
54,000
-11,000
-17% -$530K
CRI icon
21
Carter's
CRI
$1.04B
$2.56M 0.59%
+24,000
New +$2.56M
TMX
22
DELISTED
Terminix Global Holdings, Inc.
TMX
$2.39M 0.55%
60,000
GLPI icon
23
Gaming and Leisure Properties
GLPI
$13.6B
$2.07M 0.47%
59,999
-98,302
-62% -$3.39M
WEN icon
24
Wendy's
WEN
$2.02B
$1.92M 0.44%
+200,000
New +$1.92M
ACAS
25
DELISTED
American Capital Ltd
ACAS
$1.9M 0.44%
+120,000
New +$1.9M