Credit Agricole

Credit Agricole Portfolio holdings

AUM $26.5B
1-Year Return 9.99%
This Quarter Return
+6.3%
1 Year Return
+9.99%
3 Year Return
+28.16%
5 Year Return
+106.75%
10 Year Return
+240.37%
AUM
$22.7B
AUM Growth
Cap. Flow
+$22.5B
Cap. Flow %
98.88%
Top 10 Hldgs %
14.56%
Holding
1,637
New
1,557
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Financials 18.91%
2 Technology 12.25%
3 Healthcare 10.05%
4 Energy 9.58%
5 Industrials 9.11%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CXO
601
DELISTED
CONCHO RESOURCES INC.
CXO
$4.38M 0.02%
+40,224
New +$4.38M
ELLI
602
DELISTED
Ellie Mae Inc
ELLI
$4.35M 0.02%
+136,007
New +$4.35M
WMB icon
603
Williams Companies
WMB
$71.8B
$4.31M 0.02%
+118,482
New +$4.31M
REG icon
604
Regency Centers
REG
$13.1B
$4.29M 0.02%
+88,674
New +$4.29M
CPB icon
605
Campbell Soup
CPB
$9.98B
$4.24M 0.02%
+104,198
New +$4.24M
OSIS icon
606
OSI Systems
OSIS
$3.97B
$4.23M 0.02%
+56,858
New +$4.23M
SPIL
607
DELISTED
Siliconware Precision Industries Co Ltd
SPIL
$4.19M 0.02%
+724,400
New +$4.19M
SWN
608
DELISTED
Southwestern Energy Company
SWN
$4.18M 0.02%
+114,897
New +$4.18M
MNST icon
609
Monster Beverage
MNST
$61.3B
$4.14M 0.02%
+475,938
New +$4.14M
LPT
610
DELISTED
Liberty Property Trust
LPT
$4.13M 0.02%
+116,003
New +$4.13M
EG icon
611
Everest Group
EG
$14.3B
$4.11M 0.02%
+28,246
New +$4.11M
MRVL icon
612
Marvell Technology
MRVL
$57.8B
$4.1M 0.02%
+356,663
New +$4.1M
DEL
613
DELISTED
Deltic Timber
DEL
$4.1M 0.02%
+62,943
New +$4.1M
STJ
614
DELISTED
St Jude Medical
STJ
$4.07M 0.02%
+75,944
New +$4.07M
CAG icon
615
Conagra Brands
CAG
$9.27B
$4.07M 0.02%
+172,271
New +$4.07M
DISCK
616
DELISTED
Discovery, Inc. Series C Common Stock
DISCK
$4.04M 0.02%
+103,418
New +$4.04M
KDN
617
DELISTED
KAYDON CORP
KDN
$4.03M 0.02%
+113,410
New +$4.03M
PII icon
618
Polaris
PII
$3.29B
$4.02M 0.02%
+31,110
New +$4.02M
LTM
619
DELISTED
LATAM Airlines Group S.A American Depositary Shares (Each representing 1 Common Share)
LTM
$4.02M 0.02%
+266,233
New +$4.02M
AME icon
620
Ametek
AME
$43.3B
$4M 0.02%
+86,951
New +$4M
HLF icon
621
Herbalife
HLF
$958M
$4M 0.02%
+114,618
New +$4M
DVA icon
622
DaVita
DVA
$9.46B
$4M 0.02%
+70,212
New +$4M
NE
623
DELISTED
Noble Corporation
NE
$3.98M 0.02%
+120,507
New +$3.98M
MCHP icon
624
Microchip Technology
MCHP
$34.9B
$3.97M 0.02%
+197,160
New +$3.97M
PRE
625
DELISTED
PARTNERRE LTD
PRE
$3.97M 0.02%
+43,365
New +$3.97M