ADL

Asset Dedication LLC Portfolio holdings

AUM $1.38B
1-Year Return 13.84%
This Quarter Return
+4.16%
1 Year Return
+13.84%
3 Year Return
+50.46%
5 Year Return
+85.71%
10 Year Return
AUM
$152M
AUM Growth
Cap. Flow
+$152M
Cap. Flow %
100%
Top 10 Hldgs %
24.8%
Holding
743
New
741
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Financials 5.81%
2 Healthcare 5.63%
3 Technology 5.27%
4 Communication Services 4.73%
5 Industrials 4.71%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BKNG icon
276
Booking.com
BKNG
$176B
$29K 0.02%
+23
New +$29K
HAIN icon
277
Hain Celestial
HAIN
$180M
$28K 0.02%
+700
New +$28K
SHM icon
278
SPDR Nuveen ICE Short Term Municipal Bond ETF
SHM
$3.46B
$28K 0.02%
+584
New +$28K
TMO icon
279
Thermo Fisher Scientific
TMO
$183B
$28K 0.02%
+196
New +$28K
TROW icon
280
T Rowe Price
TROW
$23.5B
$28K 0.02%
+392
New +$28K
ELME
281
Elme Communities
ELME
$1.51B
$27K 0.02%
+997
New +$27K
GVAL icon
282
Cambria Global Value ETF
GVAL
$325M
$27K 0.02%
+1,504
New +$27K
BPK
283
DELISTED
Blackrock Muni 2018 Term Tr
BPK
$27K 0.02%
+1,760
New +$27K
SE
284
DELISTED
Spectra Energy Corp Wi
SE
$27K 0.02%
+1,129
New +$27K
ED icon
285
Consolidated Edison
ED
$34.9B
$26K 0.02%
+400
New +$26K
EFG icon
286
iShares MSCI EAFE Growth ETF
EFG
$13.4B
$26K 0.02%
+384
New +$26K
JNK icon
287
SPDR Bloomberg High Yield Bond ETF
JNK
$8.11B
$26K 0.02%
+251
New +$26K
MMP
288
DELISTED
Magellan Midstream Partners, L.P.
MMP
$26K 0.02%
+390
New +$26K
CNI icon
289
Canadian National Railway
CNI
$57.9B
$25K 0.02%
+440
New +$25K
ECL icon
290
Ecolab
ECL
$76.3B
$25K 0.02%
+216
New +$25K
DVAX icon
291
Dynavax Technologies
DVAX
$1.15B
$24K 0.02%
+975
New +$24K
ICF icon
292
iShares Select U.S. REIT ETF
ICF
$1.92B
$24K 0.02%
+480
New +$24K
ITA icon
293
iShares US Aerospace & Defense ETF
ITA
$9.22B
$24K 0.02%
+402
New +$24K
JCI icon
294
Johnson Controls International
JCI
$71B
$24K 0.02%
+573
New +$24K
VOT icon
295
Vanguard Mid-Cap Growth ETF
VOT
$17.8B
$24K 0.02%
+236
New +$24K
RAI
296
DELISTED
Reynolds American Inc
RAI
$24K 0.02%
+528
New +$24K
ARMH
297
DELISTED
ARM HOLDINGS PLC ADS
ARMH
$24K 0.02%
+536
New +$24K
CRM icon
298
Salesforce
CRM
$235B
$23K 0.02%
+299
New +$23K
DXCM icon
299
DexCom
DXCM
$29.9B
$23K 0.02%
+1,136
New +$23K
VXUS icon
300
Vanguard Total International Stock ETF
VXUS
$104B
$23K 0.02%
+521
New +$23K