AC

Ascend Capital Portfolio holdings

AUM $1.99B
This Quarter Return
+3.44%
1 Year Return
+10.47%
3 Year Return
+55.79%
5 Year Return
+85.99%
10 Year Return
AUM
$1.99B
AUM Growth
+$1.99B
Cap. Flow
-$157M
Cap. Flow %
-7.87%
Top 10 Hldgs %
29.25%
Holding
244
New
73
Increased
28
Reduced
54
Closed
80

Sector Composition

1 Consumer Discretionary 22.56%
2 Healthcare 12.76%
3 Technology 12.55%
4 Industrials 11.32%
5 Financials 10.02%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
FIS icon
101
Fidelity National Information Services
FIS
$35.4B
$3.7M 0.19%
33,905
-30,095
-47% -$3.28M
PVTL
102
DELISTED
Pivotal Software, Inc.
PVTL
$3.68M 0.19%
188,131
+2,380
+1% +$46.6K
LTXB
103
DELISTED
LegacyTexas Financial Group Inc
LTXB
$3.57M 0.18%
+83,939
New +$3.57M
DOCU icon
104
DocuSign
DOCU
$15.4B
$3.57M 0.18%
67,940
-73,529
-52% -$3.87M
TGT icon
105
Target
TGT
$42.1B
$3.49M 0.18%
+39,539
New +$3.49M
I
106
DELISTED
INTELSAT S. A.
I
$3.36M 0.17%
+112,003
New +$3.36M
ACOR
107
DELISTED
Acorda Therapeutics, Inc.
ACOR
$3.32M 0.17%
+169,176
New +$3.32M
AQST icon
108
Aquestive Therapeutics
AQST
$466M
$3.16M 0.16%
+180,610
New +$3.16M
SDRL
109
DELISTED
Seadrill Limited Common Stock
SDRL
$2.75M 0.14%
+110,855
New +$2.75M
LEXEA
110
DELISTED
Liberty Expedia Holdings, Inc. Class A Common Stock
LEXEA
$2.58M 0.13%
+54,901
New +$2.58M
CPA icon
111
Copa Holdings
CPA
$4.82B
$2.54M 0.13%
31,852
+8,507
+36% +$679K
HD icon
112
Home Depot
HD
$406B
$2.53M 0.13%
12,202
-28,548
-70% -$5.91M
ORLY icon
113
O'Reilly Automotive
ORLY
$87.9B
$2.51M 0.13%
+7,211
New +$2.51M
PFGC icon
114
Performance Food Group
PFGC
$16.3B
$2.51M 0.13%
+75,194
New +$2.51M
AZPN
115
DELISTED
ASPEN TECHNOLOGY INC
AZPN
$2.43M 0.12%
21,336
-5,149
-19% -$586K
AVYA
116
DELISTED
Avaya Holdings Corp. Common Stock
AVYA
$2.42M 0.12%
109,341
+14,842
+16% +$329K
VRTS icon
117
Virtus Investment Partners
VRTS
$1.32B
$2.41M 0.12%
21,148
-1,608
-7% -$183K
AEL
118
DELISTED
American Equity Investment Life Holding Company
AEL
$2.39M 0.12%
+67,532
New +$2.39M
FOMX
119
DELISTED
Foamix Pharmaceuticals Ltd. Ordinary Shares
FOMX
$2.35M 0.12%
409,841
+110,146
+37% +$631K
PBF icon
120
PBF Energy
PBF
$3.29B
$2.33M 0.12%
46,750
-5,257
-10% -$262K
EXR icon
121
Extra Space Storage
EXR
$30.3B
$2.33M 0.12%
+26,836
New +$2.33M
EPRT icon
122
Essential Properties Realty Trust
EPRT
$6.11B
$2.31M 0.12%
+162,767
New +$2.31M
TXMD icon
123
TherapeuticsMD
TXMD
$12.5M
$2.31M 0.12%
+351,415
New +$2.31M
AMC icon
124
AMC Entertainment Holdings
AMC
$1.4B
$2.24M 0.11%
+109,226
New +$2.24M
BKU icon
125
Bankunited
BKU
$2.9B
$2.22M 0.11%
+62,601
New +$2.22M