CCP

Cardan Capital Partners Portfolio holdings

AUM $893M
This Quarter Return
-0.23%
1 Year Return
+22.82%
3 Year Return
+64.04%
5 Year Return
+96.7%
10 Year Return
AUM
$893M
AUM Growth
+$893M
Cap. Flow
+$35M
Cap. Flow %
3.91%
Top 10 Hldgs %
26.64%
Holding
259
New
9
Increased
102
Reduced
75
Closed
16

Sector Composition

1 Technology 14.19%
2 Consumer Discretionary 5.85%
3 Communication Services 3.25%
4 Financials 2.84%
5 Industrials 2.28%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
XMHQ icon
151
Invesco S&P MidCap Quality ETF
XMHQ
$5.03B
$562K 0.06%
7,400
-27,139
-79% -$2.06M
PG icon
152
Procter & Gamble
PG
$370B
$554K 0.06%
3,961
+175
+5% +$24.5K
JNJ icon
153
Johnson & Johnson
JNJ
$429B
$552K 0.06%
3,421
+105
+3% +$16.9K
DSI icon
154
iShares MSCI KLD 400 Social ETF
DSI
$4.81B
$543K 0.06%
6,530
+86
+1% +$7.15K
COST icon
155
Costco
COST
$421B
$526K 0.06%
1,170
-37
-3% -$16.6K
GS icon
156
Goldman Sachs
GS
$221B
$518K 0.06%
1,370
-13
-0.9% -$4.92K
AMD icon
157
Advanced Micro Devices
AMD
$263B
$494K 0.06%
4,797
+127
+3% +$13.1K
CRM icon
158
Salesforce
CRM
$245B
$491K 0.06%
1,812
QDF icon
159
FlexShares Quality Dividend Index Fund
QDF
$1.93B
$473K 0.05%
8,500
ISCV icon
160
iShares Morningstar Small-Cap Value ETF
ISCV
$520M
$467K 0.05%
8,211
+2,008
+32% +$114K
SCHE icon
161
Schwab Emerging Markets Equity ETF
SCHE
$10.8B
$457K 0.05%
15,002
-1,070
-7% -$32.6K
VXF icon
162
Vanguard Extended Market ETF
VXF
$23.7B
$446K 0.05%
2,446
RPV icon
163
Invesco S&P 500 Pure Value ETF
RPV
$1.35B
$443K 0.05%
5,841
ABT icon
164
Abbott
ABT
$230B
$440K 0.05%
3,724
+233
+7% +$27.5K
TECH icon
165
Bio-Techne
TECH
$8.3B
$436K 0.05%
3,600
IWM icon
166
iShares Russell 2000 ETF
IWM
$66.6B
$435K 0.05%
1,988
IJH icon
167
iShares Core S&P Mid-Cap ETF
IJH
$99.4B
$421K 0.05%
7,995
BRK.A icon
168
Berkshire Hathaway Class A
BRK.A
$1.08T
$411K 0.05%
1
VTI icon
169
Vanguard Total Stock Market ETF
VTI
$524B
$409K 0.05%
1,840
TMO icon
170
Thermo Fisher Scientific
TMO
$183B
$403K 0.05%
705
+47
+7% +$26.9K
ORCL icon
171
Oracle
ORCL
$628B
$402K 0.05%
4,610
-80
-2% -$6.98K
CCK icon
172
Crown Holdings
CCK
$10.7B
$394K 0.04%
3,906
CVX icon
173
Chevron
CVX
$318B
$390K 0.04%
3,847
+210
+6% +$21.3K
BA icon
174
Boeing
BA
$176B
$387K 0.04%
1,758
-27
-2% -$5.94K
BLK icon
175
Blackrock
BLK
$170B
$383K 0.04%
457