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
CVC
751
DELISTED
CABLEVISION SYS CP NY GRP CL-A
CVC
$341K 0.02%
10,328
-3,755
-27% -$124K
XYL icon
752
Xylem
XYL
$33.5B
$340K 0.02%
+8,324
New +$340K
CF icon
753
CF Industries
CF
$14.1B
$339K 0.02%
+10,817
New +$339K
FFIV icon
754
F5
FFIV
$18.8B
$338K 0.02%
+3,190
New +$338K
IBOC icon
755
International Bancshares
IBOC
$4.4B
$337K 0.02%
13,685
BPY
756
DELISTED
Brookfield Property Partners L.P. Limited Partnership Units
BPY
$337K 0.02%
14,527
-3,879
-21% -$90K
APTS
757
DELISTED
Preferred Apartment Communities, Inc.
APTS
$333K 0.02%
26,300
IRM icon
758
Iron Mountain
IRM
$28.8B
$332K 0.02%
+9,797
New +$332K
ORC
759
Orchid Island Capital
ORC
$951M
$332K 0.02%
6,400
QRVO icon
760
Qorvo
QRVO
$8.26B
$331K 0.02%
+6,558
New +$331K
GTS
761
DELISTED
Triple-S Management Corporation
GTS
$331K 0.02%
+13,976
New +$331K
ETFC
762
DELISTED
E*Trade Financial Corporation
ETFC
$331K 0.02%
+13,519
New +$331K
RPXC
763
DELISTED
RPX Corporation
RPXC
$326K 0.02%
28,963
+8,645
+43% +$97.3K
MRTN icon
764
Marten Transport
MRTN
$949M
$325K 0.02%
+43,345
New +$325K
TRMK icon
765
Trustmark
TRMK
$2.42B
$322K 0.02%
+14,000
New +$322K
FSLR icon
766
First Solar
FSLR
$21.9B
$321K 0.02%
4,683
+5
+0.1% +$343
MNK
767
DELISTED
MALLINCKRODT PUBLIC LIMITED COMPANY
MNK
$320K 0.02%
+5,216
New +$320K
ARR
768
Armour Residential REIT
ARR
$1.74B
$318K 0.02%
2,955
ADT
769
DELISTED
ADT CORP
ADT
$317K 0.02%
+7,673
New +$317K
HTH icon
770
Hilltop Holdings
HTH
$2.19B
$316K 0.02%
+16,727
New +$316K
IX icon
771
ORIX
IX
$29.8B
$316K 0.02%
22,145
GME icon
772
GameStop
GME
$10.9B
$312K 0.02%
+39,276
New +$312K
GL icon
773
Globe Life
GL
$11.3B
$310K 0.02%
+5,723
New +$310K
FLY
774
DELISTED
Fly Leasing Limited
FLY
$309K 0.02%
24,318
NAVG
775
DELISTED
Navigators Group Inc
NAVG
$306K 0.02%
7,304