DG

Delek Group Portfolio holdings

AUM $2.06B
This Quarter Return
+1.45%
1 Year Return
-0.77%
3 Year Return
5 Year Return
10 Year Return
AUM
$2.06B
AUM Growth
+$2.06B
Cap. Flow
-$36M
Cap. Flow %
-1.75%
Top 10 Hldgs %
22.17%
Holding
209
New
35
Increased
58
Reduced
66
Closed
24

Sector Composition

1 Technology 17.73%
2 Healthcare 14.68%
3 Industrials 11.65%
4 Materials 10.56%
5 Energy 8.8%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HACK icon
151
Amplify Cybersecurity ETF
HACK
$2.25B
$604K 0.02%
+15,537
New +$604K
USIG icon
152
iShares Broad USD Investment Grade Corporate Bond ETF
USIG
$14.7B
$574K 0.02%
10,317
FXI icon
153
iShares China Large-Cap ETF
FXI
$6.65B
$538K 0.02%
+12,864
New +$538K
XLP icon
154
Consumers Staples Select Sector SPDR Fund
XLP
$15.8B
$520K 0.02%
9,161
-14,840
-62% -$842K
PHXM
155
DELISTED
PHAXIAM Therapeutics S.A.. American Depositary Shares
PHXM
$489K 0.02%
70,000
FIVE icon
156
Five Below
FIVE
$8.33B
$467K 0.02%
3,980
-1,888
-32% -$222K
EWU icon
157
iShares MSCI United Kingdom ETF
EWU
$2.88B
$442K 0.02%
+14,007
New +$442K
GXC icon
158
SPDR S&P China ETF
GXC
$482M
$440K 0.02%
4,684
+1,174
+33% +$110K
ISRL
159
DELISTED
Isramco Inc
ISRL
$436K 0.02%
3,765
RDS.B
160
DELISTED
Royal Dutch Shell PLC ADS Class B
RDS.B
$417K 0.02%
6,500
NNDM
161
Nano Dimension
NNDM
$296M
$394K 0.02%
841,152
VCSH icon
162
Vanguard Short-Term Corporate Bond ETF
VCSH
$35.3B
$380K 0.01%
4,824
+866
+22% +$68.2K
AMGN icon
163
Amgen
AMGN
$153B
$380K 0.01%
2,109
-5,289
-71% -$953K
BA icon
164
Boeing
BA
$176B
$335K 0.01%
942
-1,847
-66% -$657K
EVGN icon
165
Evogene
EVGN
$10.8M
$332K 0.01%
211,144
-6,680
-3% -$10.5K
CEVA icon
166
CEVA Inc
CEVA
$520M
$320K 0.01%
13,457
-1,624
-11% -$38.6K
KEN icon
167
Kenon Holdings
KEN
$2.29B
$306K 0.01%
14,766
-1,635
-10% -$33.9K
AAXJ icon
168
iShares MSCI All Country Asia ex Japan ETF
AAXJ
$2.86B
$301K 0.01%
4,413
-13,306
-75% -$908K
ORGS
169
DELISTED
Orgenesis Inc. Common Stock
ORGS
$278K 0.01%
+64,000
New +$278K
HEDJ icon
170
WisdomTree Europe Hedged Equity Fund
HEDJ
$1.78B
$251K 0.01%
3,886
-4,064
-51% -$262K
KR icon
171
Kroger
KR
$45.1B
$233K 0.01%
11,000
-399,667
-97% -$8.47M
DSPG
172
DELISTED
DSP Group Inc
DSPG
$227K 0.01%
16,203
-3,211
-17% -$45K
CRNT icon
173
Ceragon Networks
CRNT
$178M
$178K 0.01%
62,180
+9,977
+19% +$28.6K
GLMD icon
174
Galmed Pharmaceuticals
GLMD
$7.07M
$176K 0.01%
24,552
+3,300
+16% +$23.3K
OPK icon
175
Opko Health
OPK
$1.1B
$174K 0.01%
73,000