CG

Cutler Group Portfolio holdings

AUM $198M
This Quarter Return
+11.07%
1 Year Return
+27.33%
3 Year Return
+39.6%
5 Year Return
+161.34%
10 Year Return
AUM
$198M
AUM Growth
+$198M
Cap. Flow
-$556M
Cap. Flow %
-280.74%
Top 10 Hldgs %
22.88%
Holding
2,036
New
190
Increased
161
Reduced
509
Closed
720

Sector Composition

1 Technology 15.88%
2 Consumer Discretionary 9.15%
3 Healthcare 5.12%
4 Industrials 4.45%
5 Communication Services 4%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
FIS icon
126
Fidelity National Information Services
FIS
$35.6B
$328K 0.11%
4,429
-30,538
-87% -$2.26M
MARA icon
127
Marathon Digital Holdings
MARA
$5.89B
$318K 0.1%
14,091
+600
+4% +$13.5K
GDDY icon
128
GoDaddy
GDDY
$19.9B
$311K 0.1%
+2,626
New +$311K
TBCH
129
Turtle Beach Corporation Common Stock
TBCH
$294M
$311K 0.1%
18,044
-2,253
-11% -$38.8K
ASHR icon
130
Xtrackers Harvest CSI 300 China A-Shares ETF
ASHR
$2.31B
$308K 0.1%
12,824
+11,235
+707% +$270K
SQM icon
131
Sociedad Química y Minera de Chile
SQM
$12.5B
$308K 0.1%
6,284
+1,613
+35% +$79.1K
ROM icon
132
ProShares Ultra Technology
ROM
$761M
$306K 0.1%
5,047
+2,678
+113% +$162K
RCL icon
133
Royal Caribbean
RCL
$96.4B
$302K 0.1%
2,176
+1,890
+661% +$262K
TSN icon
134
Tyson Foods
TSN
$20B
$302K 0.1%
5,159
+4,669
+953% +$273K
NKE icon
135
Nike
NKE
$110B
$301K 0.1%
3,205
-54,211
-94% -$5.09M
RIVN icon
136
Rivian
RIVN
$17.5B
$300K 0.1%
27,408
-20,424
-43% -$224K
DBA icon
137
Invesco DB Agriculture Fund
DBA
$809M
$296K 0.1%
+11,965
New +$296K
AXP icon
138
American Express
AXP
$225B
$295K 0.1%
+1,298
New +$295K
SNOW icon
139
Snowflake
SNOW
$76.5B
$293K 0.1%
1,817
-18,644
-91% -$3.01M
VWO icon
140
Vanguard FTSE Emerging Markets ETF
VWO
$96.5B
$287K 0.09%
+6,890
New +$287K
MS icon
141
Morgan Stanley
MS
$237B
$285K 0.09%
+3,029
New +$285K
TECL icon
142
Direxion Daily Technology Bull 3x Shares
TECL
$3.42B
$280K 0.09%
3,500
-14,800
-81% -$1.18M
PFE icon
143
Pfizer
PFE
$141B
$279K 0.09%
10,075
-120,937
-92% -$3.35M
SIL icon
144
Global X Silver Miners ETF NEW
SIL
$2.9B
$277K 0.09%
10,120
-8,455
-46% -$231K
APO icon
145
Apollo Global Management
APO
$75.9B
$275K 0.09%
2,452
+2,312
+1,651% +$259K
WPC icon
146
W.P. Carey
WPC
$14.6B
$272K 0.09%
4,824
-4,687
-49% -$264K
RBLX icon
147
Roblox
RBLX
$92.5B
$272K 0.09%
7,130
-23,424
-77% -$894K
VTLE icon
148
Vital Energy
VTLE
$682M
$271K 0.09%
5,172
-300
-5% -$15.7K
ABBV icon
149
AbbVie
ABBV
$374B
$269K 0.09%
1,480
-187
-11% -$34K
ZTS icon
150
Zoetis
ZTS
$67.6B
$267K 0.09%
+1,580
New +$267K