BA

BlackRock Advisors Portfolio holdings

AUM $92.2B
1-Year Return 14.89%
This Quarter Return
+5.34%
1 Year Return
+14.89%
3 Year Return
+30.9%
5 Year Return
10 Year Return
AUM
$92.2B
AUM Growth
-$897M
Cap. Flow
-$4.36B
Cap. Flow %
-4.73%
Top 10 Hldgs %
16.29%
Holding
3,760
New
88
Increased
1,838
Reduced
1,272
Closed
106

Sector Composition

1 Financials 18.42%
2 Healthcare 16.37%
3 Technology 11.15%
4 Energy 9.17%
5 Consumer Discretionary 7.53%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HTLD icon
926
Heartland Express
HTLD
$656M
$8.09M 0.01%
397,349
+8,522
+2% +$174K
S
927
DELISTED
Sprint Corporation
S
$8.09M 0.01%
960,610
+76,411
+9% +$643K
SPR icon
928
Spirit AeroSystems
SPR
$4.76B
$8.05M 0.01%
138,023
+64,453
+88% +$3.76M
KMT icon
929
Kennametal
KMT
$1.59B
$8.05M 0.01%
257,429
-22,688
-8% -$709K
FN icon
930
Fabrinet
FN
$13.3B
$8.01M 0.01%
198,688
+3,713
+2% +$150K
CRR
931
DELISTED
Carbo Ceramics Inc.
CRR
$7.97M 0.01%
762,040
-7,442
-1% -$77.8K
SCCO icon
932
Southern Copper
SCCO
$82.9B
$7.97M 0.01%
261,948
-119
-0% -$3.62K
ULTI
933
DELISTED
Ultimate Software Group Inc
ULTI
$7.88M 0.01%
43,232
-5,121
-11% -$934K
JWN
934
DELISTED
Nordstrom
JWN
$7.86M 0.01%
163,976
+11,144
+7% +$534K
TDOC icon
935
Teladoc Health
TDOC
$1.32B
$7.84M 0.01%
474,898
+22,350
+5% +$369K
GNBC
936
DELISTED
Green Bancorp, Inc
GNBC
$7.81M 0.01%
513,486
-33,331
-6% -$507K
ANSS
937
DELISTED
Ansys
ANSS
$7.74M 0.01%
83,708
+16,884
+25% +$1.56M
TXT icon
938
Textron
TXT
$14.4B
$7.74M 0.01%
159,368
-2,416,418
-94% -$117M
SIGI icon
939
Selective Insurance
SIGI
$4.75B
$7.73M 0.01%
179,461
-8,730
-5% -$376K
AIV
940
Aimco
AIV
$1.07B
$7.7M 0.01%
1,271,698
+765,484
+151% +$4.63M
AMTD
941
DELISTED
TD Ameritrade Holding Corp
AMTD
$7.7M 0.01%
176,528
+38,817
+28% +$1.69M
X
942
DELISTED
US Steel
X
$7.68M 0.01%
232,574
-55,702
-19% -$1.84M
DCP
943
DELISTED
DCP Midstream, LP
DCP
$7.56M 0.01%
197,025
+106,215
+117% +$4.08M
THO icon
944
Thor Industries
THO
$5.66B
$7.51M 0.01%
75,098
-93,559
-55% -$9.36M
AIZ icon
945
Assurant
AIZ
$10.6B
$7.46M 0.01%
80,380
+2,779
+4% +$258K
STLD icon
946
Steel Dynamics
STLD
$19.5B
$7.45M 0.01%
209,323
-104,648
-33% -$3.72M
CSL icon
947
Carlisle Companies
CSL
$16.2B
$7.44M 0.01%
67,462
+2,488
+4% +$274K
AGCO icon
948
AGCO
AGCO
$8.02B
$7.43M 0.01%
128,370
+8,383
+7% +$485K
GLPI icon
949
Gaming and Leisure Properties
GLPI
$13.6B
$7.43M 0.01%
242,497
+135,520
+127% +$4.15M
DISCK
950
DELISTED
Discovery, Inc. Series C Common Stock
DISCK
$7.38M 0.01%
275,416
+12,489
+5% +$334K