CII

CR Intrinsic Investors Portfolio holdings

AUM $2.28B
1-Year Return 26.4%
This Quarter Return
+1.7%
1 Year Return
+26.4%
3 Year Return
5 Year Return
10 Year Return
AUM
$2.28B
AUM Growth
+$108M
Cap. Flow
+$95.3M
Cap. Flow %
4.17%
Top 10 Hldgs %
17.32%
Holding
365
New
97
Increased
67
Reduced
59
Closed
109

Sector Composition

1 Consumer Discretionary 30.43%
2 Healthcare 19.95%
3 Industrials 10.86%
4 Consumer Staples 6.74%
5 Technology 5.96%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
OC icon
101
Owens Corning
OC
$12.7B
$8.29M 0.31%
192,128
-707,872
-79% -$30.6M
TRW
102
DELISTED
TRW AUTOMOTIVE HOLDINGS CORP
TRW
$8.16M 0.31%
100,000
+70,000
+233% +$5.71M
EDU icon
103
New Oriental
EDU
$7.98B
$8.16M 0.31%
+277,900
New +$8.16M
TFCF
104
DELISTED
Twenty-First Century Fox, Inc. Class B
TFCF
$8.09M 0.3%
+260,000
New +$8.09M
TXT icon
105
Textron
TXT
$14.4B
$7.86M 0.29%
200,000
-185,000
-48% -$7.27M
MOS icon
106
The Mosaic Company
MOS
$10.3B
$7.5M 0.28%
+150,000
New +$7.5M
BC icon
107
Brunswick
BC
$4.26B
$7.48M 0.28%
165,250
+7,150
+5% +$324K
CSII
108
DELISTED
Cardiovascular Systems, Inc.
CSII
$7.47M 0.28%
235,000
+185,000
+370% +$5.88M
TYC
109
DELISTED
TYCO INTL PLC COM SHS (IRL)
TYC
$7.42M 0.28%
167,125
+33,425
+25% +$1.48M
DBI icon
110
Designer Brands
DBI
$216M
$7.35M 0.28%
205,000
+155,000
+310% +$5.56M
EXPE icon
111
Expedia Group
EXPE
$26.8B
$7.32M 0.27%
101,001
-110,000
-52% -$7.98M
AAL icon
112
American Airlines Group
AAL
$8.53B
$7.32M 0.27%
200,000
+40,000
+25% +$1.46M
SLB icon
113
Schlumberger
SLB
$53.6B
$7.31M 0.27%
75,000
-55,000
-42% -$5.36M
A icon
114
Agilent Technologies
A
$36.5B
$7.27M 0.27%
181,740
-160,770
-47% -$6.43M
ACI
115
DELISTED
ARCH COAL, INC.
ACI
$7.23M 0.27%
+150,000
New +$7.23M
STJ
116
DELISTED
St Jude Medical
STJ
$7.19M 0.27%
+110,000
New +$7.19M
GMED icon
117
Globus Medical
GMED
$8.12B
$7.18M 0.27%
270,000
+20,000
+8% +$532K
VSI
118
DELISTED
Vitamin Shoppe Inc.
VSI
$7.13M 0.27%
150,000
+20,700
+16% +$984K
VTRS icon
119
Viatris
VTRS
$12.1B
$6.84M 0.26%
+140,000
New +$6.84M
CAG icon
120
Conagra Brands
CAG
$9.13B
$6.83M 0.26%
+282,700
New +$6.83M
LII icon
121
Lennox International
LII
$19.7B
$6.82M 0.26%
+75,000
New +$6.82M
RDN icon
122
Radian Group
RDN
$4.77B
$6.69M 0.25%
445,000
+280,000
+170% +$4.21M
BEAV
123
DELISTED
B/E Aerospace Inc
BEAV
$6.51M 0.24%
103,575
+13,810
+15% +$868K
WCG
124
DELISTED
Wellcare Health Plans, Inc.
WCG
$6.35M 0.24%
100,000
CSTE icon
125
Caesarstone
CSTE
$47.7M
$6.3M 0.24%
+115,806
New +$6.3M