CGM

Centenus Global Management Portfolio holdings

AUM $145M
This Quarter Return
-25.48%
1 Year Return
-19.51%
3 Year Return
5 Year Return
10 Year Return
AUM
$145M
AUM Growth
+$145M
Cap. Flow
-$468M
Cap. Flow %
-322.14%
Top 10 Hldgs %
30.08%
Holding
151
New
45
Increased
1
Reduced
22
Closed
72

Sector Composition

1 Utilities 33.06%
2 Energy 22.8%
3 Industrials 17.63%
4 Consumer Discretionary 6.86%
5 Materials 6.77%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SAVE
126
DELISTED
Spirit Airlines, Inc.
SAVE
-110,000
Closed -$4.43M
WRK
127
DELISTED
WestRock Company
WRK
-135,000
Closed -$5.79M
ERF
128
DELISTED
Enerplus Corporation
ERF
-386,961
Closed -$2.76M
XEC
129
DELISTED
CIMAREX ENERGY CO
XEC
-140,000
Closed -$7.35M
STAY
130
DELISTED
Extended Stay America, Inc. Paired Share Unit
STAY
0
WPX
131
DELISTED
WPX Energy, Inc.
WPX
-540,000
Closed -$7.42M
LK
132
DELISTED
Luckin Coffee Inc. American Depositary Shares
LK
-40,000
Closed -$1.57M
BBL
133
DELISTED
BHP Group Plc American Depositary Shares (Each representing two Ordinary Shares)
BBL
-648,191
Closed -$30.5M
AAL icon
134
American Airlines Group
AAL
$8.65B
-325,000
Closed -$9.32M
AEE icon
135
Ameren
AEE
$27B
-195,000
Closed -$15M
ALB icon
136
Albemarle
ALB
$9.34B
-80,000
Closed -$5.84M
AMLP icon
137
Alerian MLP ETF
AMLP
$10.6B
0
APA icon
138
APA Corp
APA
$8.4B
-115,000
Closed -$2.94M
ATO icon
139
Atmos Energy
ATO
$26.8B
-40,000
Closed -$4.47M
AXTA icon
140
Axalta
AXTA
$6.67B
-150,000
Closed -$4.56M
BA icon
141
Boeing
BA
$178B
-2,804
Closed -$913K
BAC icon
142
Bank of America
BAC
$372B
0
BBWI icon
143
Bath & Body Works
BBWI
$6.18B
-155,000
Closed -$2.81M
BKR icon
144
Baker Hughes
BKR
$44.5B
-56,809
Closed -$1.46M
CHWY icon
145
Chewy
CHWY
$16.5B
-110,000
Closed -$3.19M
CLF icon
146
Cleveland-Cliffs
CLF
$5.16B
-250,000
Closed -$2.1M
CMS icon
147
CMS Energy
CMS
$21.4B
-115,000
Closed -$7.23M
CNP icon
148
CenterPoint Energy
CNP
$24.8B
-430,000
Closed -$11.7M
CAT icon
149
Caterpillar
CAT
$195B
-70,000
Closed -$10.3M
CCK icon
150
Crown Holdings
CCK
$11.5B
-90,000
Closed -$6.53M