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
SVIX icon
151
-1x Short VIX Futures ETF
SVIX
$179M
$266K 0.09%
6,300
-22,239
-78% -$939K
RY icon
152
Royal Bank of Canada
RY
$205B
$266K 0.09%
2,637
-651
-20% -$65.7K
CYBR icon
153
CyberArk
CYBR
$23B
$265K 0.09%
998
-3,257
-77% -$865K
RL icon
154
Ralph Lauren
RL
$19B
$264K 0.09%
1,411
+722
+105% +$135K
CROX icon
155
Crocs
CROX
$4.74B
$264K 0.09%
1,838
-9,371
-84% -$1.35M
RH icon
156
RH
RH
$4.14B
$263K 0.09%
757
+435
+135% +$151K
MCHP icon
157
Microchip Technology
MCHP
$34.2B
$263K 0.09%
2,939
-16,330
-85% -$1.46M
FL icon
158
Foot Locker
FL
$2.3B
$259K 0.08%
9,120
+5,275
+137% +$150K
CMCSA icon
159
Comcast
CMCSA
$125B
$257K 0.08%
5,934
+2,184
+58% +$94.6K
SYM icon
160
Symbotic
SYM
$5.06B
$255K 0.08%
5,686
-2,607
-31% -$117K
GPCR icon
161
Structure Therapeutics
GPCR
$1.14B
$252K 0.08%
5,900
+800
+16% +$34.2K
BBY icon
162
Best Buy
BBY
$15.8B
$251K 0.08%
+3,066
New +$251K
ALK icon
163
Alaska Air
ALK
$7.21B
$247K 0.08%
5,746
-6,388
-53% -$275K
PEN icon
164
Penumbra
PEN
$10.5B
$245K 0.08%
+1,100
New +$245K
SVXY icon
165
ProShares Short VIX Short-Term Futures ETF
SVXY
$246M
$244K 0.08%
2,172
+1,872
+624% +$210K
SAVA icon
166
Cassava Sciences
SAVA
$107M
$237K 0.08%
11,700
-19,777
-63% -$401K
MGM icon
167
MGM Resorts International
MGM
$10.4B
$232K 0.08%
4,922
-14,954
-75% -$705K
XLRE icon
168
Real Estate Select Sector SPDR Fund
XLRE
$7.53B
$230K 0.07%
5,820
-9,580
-62% -$379K
FIVE icon
169
Five Below
FIVE
$8.33B
$230K 0.07%
1,273
+262
+26% +$47.3K
DXJ icon
170
WisdomTree Japan Hedged Equity Fund
DXJ
$3.72B
$227K 0.07%
2,101
-3,608
-63% -$390K
BILL icon
171
BILL Holdings
BILL
$4.69B
$219K 0.07%
3,190
-22,060
-87% -$1.51M
BSX icon
172
Boston Scientific
BSX
$159B
$215K 0.07%
3,140
-1,247
-28% -$85.4K
TWLO icon
173
Twilio
TWLO
$16.1B
$214K 0.07%
3,505
-11,841
-77% -$723K
WELL icon
174
Welltower
WELL
$112B
$210K 0.07%
+2,253
New +$210K
PAYC icon
175
Paycom
PAYC
$12.5B
$210K 0.07%
1,059
-688
-39% -$136K