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
HHY
301
DELISTED
Brookfield High Income Fund Inc.
HHY
$23K 0.02%
+3,275
New +$23K
CNP icon
302
CenterPoint Energy
CNP
$24.6B
$22K 0.01%
+1,209
New +$22K
IAI icon
303
iShares US Broker-Dealers & Securities Exchanges ETF
IAI
$1.54B
$22K 0.01%
+538
New +$22K
IWB icon
304
iShares Russell 1000 ETF
IWB
$44.3B
$22K 0.01%
+190
New +$22K
MPLX icon
305
MPLX
MPLX
$51.1B
$22K 0.01%
+550
New +$22K
PCG icon
306
PG&E
PCG
$33.2B
$22K 0.01%
+417
New +$22K
POWA icon
307
Invesco Bloomberg Pricing Power ETF
POWA
$188M
$22K 0.01%
+630
New +$22K
SCHZ icon
308
Schwab US Aggregate Bond ETF
SCHZ
$9.01B
$22K 0.01%
+856
New +$22K
AAL icon
309
American Airlines Group
AAL
$8.45B
$21K 0.01%
+500
New +$21K
DSL
310
DoubleLine Income Solutions Fund
DSL
$1.44B
$21K 0.01%
+1,300
New +$21K
EL icon
311
Estee Lauder
EL
$31.7B
$21K 0.01%
+243
New +$21K
WW
312
DELISTED
WW International
WW
$21K 0.01%
+900
New +$21K
KIM.PRI.CL
313
DELISTED
KIMCO REALTY CORPORATION Class I Depositary Shares
KIM.PRI.CL
$21K 0.01%
+800
New +$21K
PSA.PRT.CL
314
DELISTED
Public Storage
PSA.PRT.CL
$21K 0.01%
+800
New +$21K
MER.PRD
315
DELISTED
MERRILL PF CP TST III 7%
MER.PRD
$20K 0.01%
+780
New +$20K
AMP icon
316
Ameriprise Financial
AMP
$46.5B
$19K 0.01%
+179
New +$19K
CMG icon
317
Chipotle Mexican Grill
CMG
$51.9B
$19K 0.01%
+1,950
New +$19K
MMT
318
MFS Multimarket Income Trust
MMT
$265M
$19K 0.01%
+3,375
New +$19K
SNI
319
DELISTED
Scripps Networks Interactive, Inc Common Class A
SNI
$19K 0.01%
+336
New +$19K
CMI icon
320
Cummins
CMI
$55.8B
$18K 0.01%
+200
New +$18K
EPC icon
321
Edgewell Personal Care
EPC
$1B
$18K 0.01%
+234
New +$18K
GSG icon
322
iShares S&P GSCI Commodity-Indexed Trust
GSG
$1B
$18K 0.01%
+1,295
New +$18K
GWW icon
323
W.W. Grainger
GWW
$47.2B
$18K 0.01%
+87
New +$18K
INTU icon
324
Intuit
INTU
$183B
$18K 0.01%
+189
New +$18K
PII icon
325
Polaris
PII
$3.28B
$18K 0.01%
+205
New +$18K