BCM

BBT Capital Management Portfolio holdings

AUM $85.5M
This Quarter Return
-0.88%
1 Year Return
-10.54%
3 Year Return
+19.31%
5 Year Return
+45.58%
10 Year Return
AUM
$85.5M
AUM Growth
+$85.5M
Cap. Flow
+$5.44M
Cap. Flow %
6.36%
Top 10 Hldgs %
23.91%
Holding
275
New
133
Increased
22
Reduced
14
Closed
106

Sector Composition

1 Consumer Discretionary 20.54%
2 Industrials 20.08%
3 Technology 17.14%
4 Communication Services 10.42%
5 Healthcare 10.12%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SHV icon
1
iShares Short Treasury Bond ETF
SHV
$20.8B
$11.7M 13.7%
105,884
-98,607
-48% -$10.9M
KTB icon
2
Kontoor Brands
KTB
$4.29B
$1.4M 1.64%
+50,000
New +$1.4M
MMS icon
3
Maximus
MMS
$4.95B
$1.03M 1.2%
+14,156
New +$1.03M
FTNT icon
4
Fortinet
FTNT
$60.4B
$964K 1.13%
+12,546
New +$964K
CSCO icon
5
Cisco
CSCO
$274B
$939K 1.1%
+17,159
New +$939K
AEO icon
6
American Eagle Outfitters
AEO
$2.24B
$935K 1.09%
+55,320
New +$935K
MLKN icon
7
MillerKnoll
MLKN
$1.43B
$909K 1.06%
+20,336
New +$909K
JWN
8
DELISTED
Nordstrom
JWN
$861K 1.01%
+27,015
New +$861K
CAKE icon
9
Cheesecake Factory
CAKE
$3.06B
$860K 1.01%
+19,663
New +$860K
HDS
10
DELISTED
HD Supply Holdings, Inc.
HDS
$830K 0.97%
+20,601
New +$830K
XPO icon
11
XPO
XPO
$15.3B
$818K 0.96%
+14,152
New +$818K
RHI icon
12
Robert Half
RHI
$3.8B
$808K 0.95%
14,168
+4,722
+50% +$269K
BA icon
13
Boeing
BA
$177B
$788K 0.92%
+2,166
New +$788K
CTXS
14
DELISTED
Citrix Systems Inc
CTXS
$774K 0.91%
7,885
+2,298
+41% +$226K
LUV icon
15
Southwest Airlines
LUV
$17.3B
$762K 0.89%
+14,999
New +$762K
PANW icon
16
Palo Alto Networks
PANW
$127B
$756K 0.88%
+3,708
New +$756K
JNPR
17
DELISTED
Juniper Networks
JNPR
$754K 0.88%
+28,314
New +$754K
GMS icon
18
GMS Inc
GMS
$4.2B
$744K 0.87%
33,832
+5,515
+19% +$121K
HELE icon
19
Helen of Troy
HELE
$564M
$727K 0.85%
+5,567
New +$727K
GRMN icon
20
Garmin
GRMN
$46.5B
$726K 0.85%
+9,097
New +$726K
IPG icon
21
Interpublic Group of Companies
IPG
$9.83B
$717K 0.84%
+31,752
New +$717K
NPO icon
22
Enpro
NPO
$4.57B
$714K 0.84%
+11,190
New +$714K
DISCA
23
DELISTED
Discovery, Inc. Series A Common Stock
DISCA
$713K 0.83%
23,224
+5,292
+30% +$162K
TTWO icon
24
Take-Two Interactive
TTWO
$43B
$705K 0.82%
6,206
-85
-1% -$9.66K
WCC icon
25
WESCO International
WCC
$10.7B
$705K 0.82%
13,916
+5,804
+72% +$294K