CG

Colony Group Portfolio holdings

AUM $6.66B
This Quarter Return
-2.48%
1 Year Return
+18.65%
3 Year Return
+33.22%
5 Year Return
+53.65%
10 Year Return
+189.05%
AUM
$6.66B
AUM Growth
+$6.66B
Cap. Flow
-$181M
Cap. Flow %
-2.72%
Top 10 Hldgs %
27.64%
Holding
791
New
31
Increased
211
Reduced
451
Closed
37

Sector Composition

1 Technology 12.62%
2 Financials 10.26%
3 Healthcare 7.21%
4 Consumer Discretionary 4.84%
5 Industrials 4.56%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ALL icon
576
Allstate
ALL
$53.6B
$437K 0.01% 3,922 -165 -4% -$18.4K
HR icon
577
Healthcare Realty
HR
$6.11B
$435K 0.01% 28,461 -2,894 -9% -$44.2K
IBB icon
578
iShares Biotechnology ETF
IBB
$5.6B
$435K 0.01% 3,561 +103 +3% +$12.6K
TMP icon
579
Tompkins Financial
TMP
$1.01B
$434K 0.01% 8,868 +21 +0.2% +$1.03K
EQIX icon
580
Equinix
EQIX
$76.9B
$432K 0.01% 595 -5 -0.8% -$3.63K
PRF icon
581
Invesco FTSE RAFI US 1000 ETF
PRF
$8.08B
$427K 0.01% 13,431 +11,442 +575% +$364K
AES icon
582
AES
AES
$9.64B
$426K 0.01% 28,000 -95 -0.3% -$1.45K
OHI icon
583
Omega Healthcare
OHI
$12.6B
$425K 0.01% 12,820
SPG icon
584
Simon Property Group
SPG
$59B
$420K 0.01% 3,889 -76 -2% -$8.21K
EA icon
585
Electronic Arts
EA
$43B
$419K 0.01% 3,479 -118,876 -97% -$14.3M
AVB icon
586
AvalonBay Communities
AVB
$27.9B
$418K 0.01% 2,435 +106 +5% +$18.2K
PPL icon
587
PPL Corp
PPL
$27B
$413K 0.01% 17,528 +216 +1% +$5.09K
RVTY icon
588
Revvity
RVTY
$10.5B
$412K 0.01% 3,721 -1,189 -24% -$132K
PFFD icon
589
Global X US Preferred ETF
PFFD
$2.33B
$407K 0.01% 21,611 -567 -3% -$10.7K
VTWG icon
590
Vanguard Russell 2000 Growth ETF
VTWG
$1.07B
$402K 0.01% 2,465 +5 +0.2% +$815
EXEL icon
591
Exelixis
EXEL
$10.1B
$400K 0.01% 18,290 -5,500 -23% -$120K
HAWX icon
592
iShares Currency Hedged MSCI ACWI ex US ETF
HAWX
$267M
$400K 0.01% 14,476
AIG icon
593
American International
AIG
$45.1B
$396K 0.01% 6,542 -36 -0.5% -$2.18K
FLIC
594
DELISTED
First of Long Island Corp
FLIC
$394K 0.01% 34,211
CMG icon
595
Chipotle Mexican Grill
CMG
$56.5B
$392K 0.01% 214 -6 -3% -$11K
WCN icon
596
Waste Connections
WCN
$47.5B
$391K 0.01% 2,910 -43 -1% -$5.78K
VGT icon
597
Vanguard Information Technology ETF
VGT
$99.7B
$388K 0.01% 936 +11 +1% +$4.56K
MAR icon
598
Marriott International Class A Common Stock
MAR
$72.7B
$387K 0.01% 1,969 -2 -0.1% -$393
F icon
599
Ford
F
$46.8B
$386K 0.01% 31,113 -367 -1% -$4.55K
SJM icon
600
J.M. Smucker
SJM
$11.8B
$386K 0.01% +3,144 New +$386K