Brown Advisory

Brown Advisory Portfolio holdings

AUM $76B
1-Year Return 20.26%
This Quarter Return
+2.82%
1 Year Return
+20.26%
3 Year Return
+97.64%
5 Year Return
+145.01%
10 Year Return
+460.18%
AUM
$25B
AUM Growth
Cap. Flow
+$25B
Cap. Flow %
100%
Top 10 Hldgs %
27.99%
Holding
867
New
867
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 24.64%
2 Healthcare 15.63%
3 Financials 11.29%
4 Energy 9.97%
5 Industrials 9.3%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
VEA icon
151
Vanguard FTSE Developed Markets ETF
VEA
$170B
$21.7M 0.09%
+608,165
New +$21.7M
KYN icon
152
Kayne Anderson Energy Infrastructure Fund
KYN
$2.08B
$21M 0.08%
+540,986
New +$21M
HXL icon
153
Hexcel
HXL
$5.1B
$20.9M 0.08%
+614,545
New +$20.9M
USB icon
154
US Bancorp
USB
$76.5B
$20.1M 0.08%
+556,364
New +$20.1M
HAR
155
DELISTED
Harman International Industries
HAR
$19.8M 0.08%
+366,050
New +$19.8M
TRS icon
156
TriMas Corp
TRS
$1.6B
$19.8M 0.08%
+667,113
New +$19.8M
SGEN
157
DELISTED
Seagen Inc. Common Stock
SGEN
$19.8M 0.08%
+628,951
New +$19.8M
VFC icon
158
VF Corp
VFC
$5.85B
$19.7M 0.08%
+433,793
New +$19.7M
AYI icon
159
Acuity Brands
AYI
$10.4B
$19.6M 0.08%
+258,923
New +$19.6M
HOLX icon
160
Hologic
HOLX
$14.8B
$19M 0.08%
+985,565
New +$19M
ABT icon
161
Abbott
ABT
$231B
$18.8M 0.08%
+540,413
New +$18.8M
CPB icon
162
Campbell Soup
CPB
$9.74B
$18.4M 0.07%
+411,652
New +$18.4M
CHKP icon
163
Check Point Software Technologies
CHKP
$20.5B
$18.4M 0.07%
+371,115
New +$18.4M
PCL
164
DELISTED
PLUM CREEK TIMBER CO (REIT)
PCL
$17.7M 0.07%
+379,083
New +$17.7M
AMCC
165
DELISTED
Applied Micro Circuits Corporation New
AMCC
$17.4M 0.07%
+1,982,141
New +$17.4M
CRL icon
166
Charles River Laboratories
CRL
$7.99B
$17.4M 0.07%
+424,822
New +$17.4M
BSFT
167
DELISTED
BroadSoft, Inc.
BSFT
$17.3M 0.07%
+628,170
New +$17.3M
EFA icon
168
iShares MSCI EAFE ETF
EFA
$65.9B
$17.2M 0.07%
+300,186
New +$17.2M
TEX icon
169
Terex
TEX
$3.39B
$17.2M 0.07%
+652,943
New +$17.2M
RVBD
170
DELISTED
RIVERBED TECHNOLOGY, INC COM
RVBD
$16.7M 0.07%
+1,075,517
New +$16.7M
SHFL
171
DELISTED
SHFL ENTMT INC
SHFL
$16.6M 0.07%
+939,580
New +$16.6M
ARIA
172
DELISTED
Ariad Pharmaceuticals Inc
ARIA
$16.5M 0.07%
+945,738
New +$16.5M
UN
173
DELISTED
Unilever NV New York Registry Shares
UN
$16.5M 0.07%
+419,218
New +$16.5M
CRR
174
DELISTED
Carbo Ceramics Inc.
CRR
$16.5M 0.07%
+244,209
New +$16.5M
CNQR
175
DELISTED
CONCUR TECHNOLOGIES INC
CNQR
$15.7M 0.06%
+192,497
New +$15.7M