DC

Deere & Company Portfolio holdings

AUM $140M
1-Year Return 16.7%
This Quarter Return
+1.75%
1 Year Return
+16.7%
3 Year Return
5 Year Return
10 Year Return
AUM
$1.89B
AUM Growth
+$178M
Cap. Flow
+$170M
Cap. Flow %
9%
Top 10 Hldgs %
17.59%
Holding
1,358
New
444
Increased
284
Reduced
132
Closed
369

Sector Composition

1 Technology 14.47%
2 Financials 14.07%
3 Healthcare 13.14%
4 Industrials 8.97%
5 Communication Services 8.43%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AVAV icon
726
AeroVironment
AVAV
$12.3B
$391K 0.02%
+13,794
New +$391K
PX
727
DELISTED
Praxair Inc
PX
$390K 0.02%
3,410
+1,191
+54% +$136K
HAWK
728
DELISTED
Blackhawk Network Holdings, Inc. Common Stock
HAWK
$382K 0.02%
+11,133
New +$382K
PVH icon
729
PVH
PVH
$3.93B
$377K 0.02%
+3,803
New +$377K
BBBY
730
DELISTED
Bed Bath & Beyond Inc
BBBY
$377K 0.02%
+7,590
New +$377K
MOV icon
731
Movado Group
MOV
$426M
$376K 0.02%
+13,650
New +$376K
ECL icon
732
Ecolab
ECL
$76.3B
$375K 0.02%
+3,367
New +$375K
CPF icon
733
Central Pacific Financial
CPF
$834M
$369K 0.02%
16,963
AES icon
734
AES
AES
$9.06B
$368K 0.02%
+31,224
New +$368K
RMR icon
735
The RMR Group
RMR
$282M
$368K 0.02%
14,716
-8,035
-35% -$201K
GAS
736
DELISTED
AGL RESOURCES INC (HOLDING CO)
GAS
$363K 0.02%
+5,579
New +$363K
ANIK icon
737
Anika Therapeutics
ANIK
$121M
$361K 0.02%
8,065
-33,279
-80% -$1.49M
GPI icon
738
Group 1 Automotive
GPI
$6.09B
$361K 0.02%
6,149
-2,036
-25% -$120K
KCG
739
DELISTED
KCG Holdings, Inc.
KCG
$360K 0.02%
30,100
TEN
740
Tsakos Energy Navigation Ltd.
TEN
$648M
$357K 0.02%
11,569
AIFU
741
AIFU Inc. Class A Ordinary Share
AIFU
$83.4M
$357K 0.02%
2,225
VAR
742
DELISTED
Varian Medical Systems, Inc.
VAR
$356K 0.02%
+5,079
New +$356K
BDX icon
743
Becton Dickinson
BDX
$54B
$353K 0.02%
2,386
-12,059
-83% -$1.78M
FLR icon
744
Fluor
FLR
$6.69B
$353K 0.02%
+6,570
New +$353K
BV
745
DELISTED
Bazaarvoice, Inc.
BV
$352K 0.02%
111,809
TRI icon
746
Thomson Reuters
TRI
$76.8B
$349K 0.02%
+7,545
New +$349K
NI icon
747
NiSource
NI
$19.2B
$348K 0.02%
14,788
+4,561
+45% +$107K
CLMS
748
DELISTED
Calamos Asset Management, Inc.
CLMS
$348K 0.02%
40,959
+21,300
+108% +$181K
DISCK
749
DELISTED
Discovery, Inc. Series C Common Stock
DISCK
$344K 0.02%
+12,737
New +$344K
LM
750
DELISTED
Legg Mason, Inc.
LM
$342K 0.02%
+9,848
New +$342K