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
$40K0.03%963 New
+$40K
$39K0.03%234 New
+$39K
$39K0.03%676 New
+$39K
$38K0.03%257 New
+$38K
$37K0.03%2,000 New
+$37K
$36K0.03%3,599 New
+$36K
$36K0.03%391 New
+$36K
$36K0.03%84 New
+$36K
$34K0.02%1,175 New
+$34K
$34K0.02%348 New
+$34K
$34K0.02%268 New
+$34K
$33K0.02%3,645 New
+$33K
$32K0.02%3,000 New
+$32K
$31K0.02%216 New
+$31K
$30K0.02%392 New
+$30K
$29K0.02%202 New
+$29K
$29K0.02%632 New
+$29K
$28K0.02%158 New
+$28K
$27K0.02%371 New
+$27K
$27K0.02%146 New
+$27K
$27K0.02%507 New
+$27K
$26K0.02%432 New
+$26K
$26K0.02%1,132 New
+$26K
$26K0.02%476 New
+$26K
$26K0.02%547 New
+$26K