DC

Deere & Company Portfolio holdings

AUM $140M
1-Year Return 16.7%
This Quarter Return
+5.95%
1 Year Return
+16.7%
3 Year Return
5 Year Return
10 Year Return
AUM
$1.88B
AUM Growth
+$25.4M
Cap. Flow
-$47.6M
Cap. Flow %
-2.53%
Top 10 Hldgs %
17.3%
Holding
1,190
New
170
Increased
145
Reduced
401
Closed
166

Sector Composition

1 Financials 14.77%
2 Technology 13.7%
3 Healthcare 12.84%
4 Industrials 9.04%
5 Consumer Discretionary 8.86%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TGNA icon
251
TEGNA Inc
TGNA
$3.38B
$1.49M 0.08%
106,581
+91,281
+597% +$1.28M
VIA
252
DELISTED
Via Renewables, Inc. Class A Common Stock
VIA
$1.49M 0.08%
+20,448
New +$1.49M
VIAB
253
DELISTED
Viacom Inc. Class B
VIAB
$1.48M 0.08%
38,936
+19,767
+103% +$753K
WNC icon
254
Wabash National
WNC
$479M
$1.48M 0.08%
103,928
+14,731
+17% +$210K
APO icon
255
Apollo Global Management
APO
$75.3B
$1.48M 0.08%
+82,329
New +$1.48M
BIP icon
256
Brookfield Infrastructure Partners
BIP
$14.1B
$1.48M 0.08%
+71,670
New +$1.48M
M icon
257
Macy's
M
$4.64B
$1.48M 0.08%
39,815
+3,994
+11% +$148K
CPS icon
258
Cooper-Standard Automotive
CPS
$677M
$1.47M 0.08%
14,924
ARLP icon
259
Alliance Resource Partners
ARLP
$2.94B
$1.47M 0.08%
+66,256
New +$1.47M
NUS icon
260
Nu Skin
NUS
$569M
$1.47M 0.08%
+22,681
New +$1.47M
TVPT
261
DELISTED
Travelport Worldwide Limited
TVPT
$1.47M 0.08%
+97,600
New +$1.47M
STX icon
262
Seagate
STX
$40B
$1.47M 0.08%
38,018
-12,301
-24% -$474K
PLOW icon
263
Douglas Dynamics
PLOW
$771M
$1.46M 0.08%
+45,805
New +$1.46M
CLNY
264
DELISTED
Colony Capital, Inc.
CLNY
$1.46M 0.08%
+80,199
New +$1.46M
PKG icon
265
Packaging Corp of America
PKG
$19.8B
$1.45M 0.08%
17,891
-12,142
-40% -$987K
SNCR icon
266
Synchronoss Technologies
SNCR
$61.8M
$1.45M 0.08%
3,924
-1,438
-27% -$533K
MLNX
267
DELISTED
Mellanox Technologies, Ltd.
MLNX
$1.44M 0.08%
33,328
+7,195
+28% +$311K
MSGN
268
DELISTED
MSG Networks Inc.
MSGN
$1.44M 0.08%
+77,362
New +$1.44M
ARRS
269
DELISTED
ARRIS International plc Ordinary Shares
ARRS
$1.44M 0.08%
+50,721
New +$1.44M
STLA icon
270
Stellantis
STLA
$26.2B
$1.44M 0.08%
225,191
+50,831
+29% +$324K
RHP icon
271
Ryman Hospitality Properties
RHP
$6.35B
$1.43M 0.08%
+29,784
New +$1.43M
UFPI icon
272
UFP Industries
UFPI
$6.08B
$1.43M 0.08%
43,680
BERY
273
DELISTED
Berry Global Group, Inc.
BERY
$1.43M 0.08%
35,621
BGS icon
274
B&G Foods
BGS
$374M
$1.43M 0.08%
29,081
FRAN
275
DELISTED
Francesca's Holdings Corporation
FRAN
$1.43M 0.08%
+7,700
New +$1.43M