BCM

BBT Capital Management Portfolio holdings

AUM $85.5M
This Quarter Return
+4.67%
1 Year Return
-10.54%
3 Year Return
+19.31%
5 Year Return
+45.58%
10 Year Return
AUM
$1.43B
AUM Growth
+$1.43B
Cap. Flow
-$42.5M
Cap. Flow %
-2.97%
Top 10 Hldgs %
23.01%
Holding
311
New
51
Increased
58
Reduced
54
Closed
67

Sector Composition

1 Energy 24.57%
2 Consumer Discretionary 10.87%
3 Materials 8.14%
4 Industrials 7.63%
5 Communication Services 6.45%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
YHOO
276
DELISTED
Yahoo Inc
YHOO
0
XCO
277
DELISTED
Exco Resources
XCO
-233,721
Closed -$1.58M
CHMT
278
DELISTED
Chemtura Corporation
CHMT
-173,080
Closed -$3.98M
STJ
279
DELISTED
St Jude Medical
STJ
0
GMCR
280
DELISTED
KEURIG GREEN MTN INC
GMCR
0
DMND
281
DELISTED
DIAMOND FOODS, INC.
DMND
0
DTV
282
DELISTED
DIRECTV COM STK (DE)
DTV
0
ROSE
283
DELISTED
ROSETTA RESOURCES INC
ROSE
-91,000
Closed -$4.96M
FDO
284
DELISTED
FAMILY DOLLAR STORES
FDO
-45,000
Closed -$3.24M
STRZA
285
DELISTED
Starz - Series A
STRZA
0
JOSB
286
DELISTED
JOS A BANK CLOTHIERS INC
JOSB
-66,958
Closed -$2.94M
HMA
287
DELISTED
HEALTH MGMT ASSOC INC CL-A
HMA
-600,000
Closed -$7.68M
DELL
288
DELISTED
DELL INC
DELL
-400,000
Closed -$5.5M
BZ
289
DELISTED
BOISE INC COM STK (DE)
BZ
-250,000
Closed -$3.15M
WMS
290
DELISTED
WMS INDS INC
WMS
-325,000
Closed -$8.43M
ONXX
291
DELISTED
ONYX PHARMACEUTICALS INC
ONXX
-60,000
Closed -$7.48M
SFD
292
DELISTED
SMITHFIELD FOODS,INC
SFD
0
CMCSK
293
DELISTED
COMCAST CORP SPL A (NEW)
CMCSK
-280,000
Closed -$12.1M
ATVI
294
DELISTED
Activision Blizzard Inc.
ATVI
-50,000
Closed -$834K
BCR
295
DELISTED
CR Bard Inc.
BCR
-30,214
Closed -$3.48M
MWW
296
DELISTED
Monster Worldwide Inc
MWW
-893,384
Closed -$3.95M
TWC
297
DELISTED
TIME WARNER CABLE INC NEW COM STK
TWC
-10,000
Closed -$1.12M
RMTI icon
298
Rockwell Medical
RMTI
$63M
-90,000
Closed -$1.03M
RTX icon
299
RTX Corp
RTX
$212B
-24,969
Closed -$2.69M
SM icon
300
SM Energy
SM
$3.33B
-127,500
Closed -$9.84M