AMC

Asset Management Corp Portfolio holdings

AUM $128M
This Quarter Return
+11.21%
1 Year Return
-2.88%
3 Year Return
+44.58%
5 Year Return
10 Year Return
AUM
$128M
AUM Growth
+$128M
Cap. Flow
-$3.51M
Cap. Flow %
-2.75%
Top 10 Hldgs %
44.3%
Holding
152
New
17
Increased
45
Reduced
63
Closed
16

Sector Composition

1 Technology 18.26%
2 Financials 12.47%
3 Healthcare 11.53%
4 Consumer Discretionary 7.83%
5 Communication Services 5.66%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
EOI
126
Eaton Vance Enhanced Equity Income Fund
EOI
$867M
$167K 0.13%
10,947
-21,217
-66% -$323K
MRCC icon
127
Monroe Capital Corp
MRCC
$161M
$112K 0.09%
+14,611
New +$112K
BGFV icon
128
Big 5 Sporting Goods
BGFV
$32.8M
$85.1K 0.07%
+11,070
New +$85.1K
GSAT icon
129
Globalstar
GSAT
$3.85B
$69.6K 0.05%
+60,000
New +$69.6K
LAZR icon
130
Luminar Technologies
LAZR
$113M
$69.4K 0.05%
+10,700
New +$69.4K
SEEL
131
DELISTED
Seelos Therapeutics, Inc. Common Stock
SEEL
$28K 0.02%
+40,500
New +$28K
QSI icon
132
Quantum-Si Incorporated
QSI
$223M
$20.7K 0.02%
+11,786
New +$20.7K
CLSD icon
133
Clearside Biomedical
CLSD
$27.9M
$14.6K 0.01%
+14,000
New +$14.6K
AMT icon
134
American Tower
AMT
$95.3B
-3,928
Closed -$832K
AON icon
135
Aon
AON
$79.7B
-787
Closed -$236K
ARKK icon
136
ARK Innovation ETF
ARKK
$7.39B
0
CBSH icon
137
Commerce Bancshares
CBSH
$8.25B
-3,255
Closed -$222K
CROX icon
138
Crocs
CROX
$4.86B
-3,825
Closed -$415K
GD icon
139
General Dynamics
GD
$87.2B
-815
Closed -$202K
GM icon
140
General Motors
GM
$55.5B
-21,346
Closed -$718K
GNRC icon
141
Generac Holdings
GNRC
$10.6B
-5,096
Closed -$513K
HD icon
142
Home Depot
HD
$406B
-670
Closed -$212K
IIPR icon
143
Innovative Industrial Properties
IIPR
$1.57B
-2,740
Closed -$278K
ILCV icon
144
iShares Morningstar Value ETF
ILCV
$1.08B
0
LMT icon
145
Lockheed Martin
LMT
$105B
-959
Closed -$466K
MO icon
146
Altria Group
MO
$113B
-10,114
Closed -$462K
NTB icon
147
Bank of N.T. Butterfield & Son
NTB
$1.86B
0
PII icon
148
Polaris
PII
$3.11B
-6,688
Closed -$676K
SONY icon
149
Sony
SONY
$162B
-3,455
Closed -$264K
USB icon
150
US Bancorp
USB
$75.4B
-5,368
Closed -$234K