CI

Cowen Inc Portfolio holdings

AUM $1.35B
This Quarter Return
+5.23%
1 Year Return
+56.08%
3 Year Return
+159.45%
5 Year Return
+281.94%
10 Year Return
AUM
$1.35B
AUM Growth
+$1.35B
Cap. Flow
+$462M
Cap. Flow %
34.15%
Top 10 Hldgs %
45%
Holding
476
New
147
Increased
83
Reduced
62
Closed
94

Sector Composition

1 Financials 17.83%
2 Healthcare 15.3%
3 Technology 15.26%
4 Consumer Discretionary 10.13%
5 Communication Services 9.6%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
NXPI icon
126
NXP Semiconductors
NXPI
$57.5B
$1.63M 0.12%
16,700
+3,495
+26% +$341K
APU
127
DELISTED
AmeriGas Partners, L.P.
APU
$1.61M 0.12%
+46,083
New +$1.61M
GSAH.U
128
DELISTED
GS Acquisition Holdings Corp. Units, each consisting of one share of Class A common stock and one-th
GSAH.U
$1.58M 0.11%
150,000
-1,898
-1% -$19.9K
BOLD
129
DELISTED
Audentes Therapeutics, Inc
BOLD
$1.45M 0.1%
38,190
-34,810
-48% -$1.32M
TMCXU
130
DELISTED
Trinity Merger Corp. Unit
TMCXU
$1.44M 0.1%
135,240
+10,000
+8% +$106K
CNACU
131
DELISTED
Constellation Alpha Capital Corp. Unit
CNACU
$1.42M 0.1%
136,250
MUDSU
132
DELISTED
Mudrick Capital Acquisition Corporation Unit
MUDSU
$1.32M 0.1%
125,000
+8,710
+7% +$92.3K
EA icon
133
Electronic Arts
EA
$42B
$1.32M 0.09%
+13,000
New +$1.32M
LYB icon
134
LyondellBasell Industries
LYB
$17.4B
$1.29M 0.09%
+15,000
New +$1.29M
CTACU
135
DELISTED
ChaSerg Technology Acquisition Corp. Unit
CTACU
$1.27M 0.09%
124,431
-44,669
-26% -$457K
RMNI icon
136
Rimini Street
RMNI
$392M
$1.26M 0.09%
237,500
KRE icon
137
SPDR S&P Regional Banking ETF
KRE
$3.97B
$1.24M 0.09%
+23,200
New +$1.24M
STC icon
138
Stewart Information Services
STC
$2.02B
$1.23M 0.09%
+30,377
New +$1.23M
DB icon
139
Deutsche Bank
DB
$67B
$1.22M 0.09%
+160,000
New +$1.22M
PH icon
140
Parker-Hannifin
PH
$94.8B
$1.17M 0.08%
+6,851
New +$1.17M
DOOO icon
141
Bombardier Recreational Products
DOOO
$4.76B
$1.16M 0.08%
+32,500
New +$1.16M
ATH
142
DELISTED
Athene Holding Ltd. Class A Common Shares
ATH
$1.08M 0.08%
+25,000
New +$1.08M
THCBU
143
DELISTED
Tuscan Holdings Corp. Unit
THCBU
$1.06M 0.08%
100,100
-96,299
-49% -$1.02M
CROX icon
144
Crocs
CROX
$4.74B
$1.04M 0.07%
+52,500
New +$1.04M
PSO icon
145
Pearson
PSO
$9.09B
$1.04M 0.07%
+100,000
New +$1.04M
NEBUU
146
DELISTED
Nebula Acquisition Corporation Unit
NEBUU
$1.03M 0.07%
100,000
-14,359
-13% -$147K
LPRO icon
147
Open Lending Corp
LPRO
$268M
$1.02M 0.07%
100,963
-57,452
-36% -$580K
TI.A
148
DELISTED
Telecom Italia 10 Svg
TI.A
$1.02M 0.07%
+197,552
New +$1.02M
LEN icon
149
Lennar Class A
LEN
$34.7B
$1M 0.07%
+20,663
New +$1M
AXTA icon
150
Axalta
AXTA
$6.67B
$997K 0.07%
+33,500
New +$997K