ACM

Apex Capital Management Portfolio holdings

AUM $4.54B
This Quarter Return
-1.95%
1 Year Return
+1.74%
3 Year Return
+80.63%
5 Year Return
10 Year Return
AUM
$4.54B
AUM Growth
+$4.54B
Cap. Flow
+$292M
Cap. Flow %
6.43%
Top 10 Hldgs %
17.96%
Holding
270
New
24
Increased
162
Reduced
64
Closed
7

Sector Composition

1 Consumer Discretionary 21.14%
2 Technology 19.28%
3 Industrials 18.87%
4 Healthcare 18.09%
5 Financials 5.09%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
DIS icon
201
Walt Disney
DIS
$211B
$865K 0.02%
8,712
AMZN icon
202
Amazon
AMZN
$2.41T
$865K 0.02%
1,457
NXPI icon
203
NXP Semiconductors
NXPI
$57.5B
$824K 0.02%
10,161
-645
-6% -$52.3K
BTI icon
204
British American Tobacco
BTI
$120B
$823K 0.02%
7,038
+2,398
+52% +$280K
VRSK icon
205
Verisk Analytics
VRSK
$37.5B
$785K 0.02%
9,817
-675
-6% -$54K
CUK icon
206
Carnival PLC
CUK
$37.6B
$767K 0.02%
14,121
+4,875
+53% +$265K
AGU
207
DELISTED
Agrium
AGU
$766K 0.02%
8,679
+2,970
+52% +$262K
NVS icon
208
Novartis
NVS
$248B
$765K 0.02%
10,562
+3,600
+52% +$261K
UPS icon
209
United Parcel Service
UPS
$72.3B
$755K 0.02%
7,161
-159
-2% -$16.8K
TEVA icon
210
Teva Pharmaceuticals
TEVA
$21.5B
$745K 0.02%
13,918
+4,796
+53% +$257K
UN
211
DELISTED
Unilever NV New York Registry Shares
UN
$739K 0.02%
+16,546
New +$739K
TSM icon
212
TSMC
TSM
$1.2T
$717K 0.02%
27,366
+9,237
+51% +$242K
LUV icon
213
Southwest Airlines
LUV
$17B
$716K 0.02%
15,978
+65
+0.4% +$2.91K
BIIB icon
214
Biogen
BIIB
$20.8B
$702K 0.02%
2,697
-115
-4% -$29.9K
PEP icon
215
PepsiCo
PEP
$203B
$697K 0.02%
6,799
HON icon
216
Honeywell
HON
$136B
$692K 0.02%
+6,176
New +$692K
HD icon
217
Home Depot
HD
$406B
$688K 0.02%
5,156
SLF icon
218
Sun Life Financial
SLF
$32.6B
$686K 0.02%
21,255
+7,335
+53% +$237K
EL icon
219
Estee Lauder
EL
$33.1B
$682K 0.02%
+7,232
New +$682K
SAP icon
220
SAP
SAP
$316B
$672K 0.01%
8,353
+2,721
+48% +$219K
ROST icon
221
Ross Stores
ROST
$49.3B
$670K 0.01%
+11,579
New +$670K
CVX icon
222
Chevron
CVX
$318B
$632K 0.01%
6,625
-101
-2% -$9.64K
AET
223
DELISTED
Aetna Inc
AET
$626K 0.01%
5,574
+27
+0.5% +$3.03K
GIS icon
224
General Mills
GIS
$26.6B
$622K 0.01%
+9,812
New +$622K
CVS icon
225
CVS Health
CVS
$93B
$622K 0.01%
5,997
-528
-8% -$54.8K