CCM

Cloud Capital Management Portfolio holdings

AUM $141M
AUM
$141M
AUM Growth
Cap. Flow
+$141M
Cap. Flow %
100%
Top 10 Hldgs %
54.65%
Holding
280
New
280
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1Technology7.04%
2Communication Services3.16%
3Consumer Discretionary3.11%
4Financials2.36%
5Consumer Staples1.02%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
$59K0.04%820 New
+$59K
$56K0.04%387 New
+$56K
$55K0.04%12 New
+$55K
$55K0.04%2,457 New
+$55K
$54K0.04%66 New
+$54K
$54K0.04%268 New
+$54K
$54K0.04%411 New
+$54K
$54K0.04%1,953 New
+$54K
$53K0.04%102 New
+$53K
$52K0.04%660 New
+$52K
$50K0.04%1,311 New
+$50K
$49K0.03%86 New
+$49K
$49K0.03%212 New
+$49K
$48K0.03%87 New
+$48K
$48K0.03%91 New
+$48K
$47K0.03%173 New
+$47K
$47K0.03%1,146 New
+$47K
$47K0.03%363 New
+$47K
$45K0.03%622 New
+$45K
$45K0.03%385 New
+$45K
$44K0.03%137 New
+$44K
$43K0.03%598 New
+$43K
$42K0.03%247 New
+$42K
$42K0.03%575 New
+$42K
$41K0.03%841 New
+$41K