DAM

Delta Asset Management Portfolio holdings

AUM $1.15B
1-Year Return 17.31%
This Quarter Return
+2.47%
1 Year Return
+17.31%
3 Year Return
+60.12%
5 Year Return
+102.95%
10 Year Return
+238.26%
AUM
$400M
AUM Growth
Cap. Flow
+$400M
Cap. Flow %
100%
Top 10 Hldgs %
38.4%
Holding
553
New
552
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Industrials 19.03%
2 Consumer Staples 15.17%
3 Financials 14.01%
4 Consumer Discretionary 10.38%
5 Technology 6.99%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
META icon
201
Meta Platforms (Facebook)
META
$1.89T
$55K 0.01%
+2,200
New +$55K
PX
202
DELISTED
Praxair Inc
PX
$55K 0.01%
+475
New +$55K
TUP
203
DELISTED
Tupperware Brands Corporation
TUP
$54K 0.01%
+690
New +$54K
EGP icon
204
EastGroup Properties
EGP
$8.97B
$53K 0.01%
+950
New +$53K
EXC icon
205
Exelon
EXC
$43.9B
$53K 0.01%
+2,400
New +$53K
MMC icon
206
Marsh & McLennan
MMC
$100B
$53K 0.01%
+1,330
New +$53K
MRO
207
DELISTED
Marathon Oil Corporation
MRO
$53K 0.01%
+1,527
New +$53K
UN
208
DELISTED
Unilever NV New York Registry Shares
UN
$53K 0.01%
+1,343
New +$53K
OXY icon
209
Occidental Petroleum
OXY
$45.2B
$52K 0.01%
+603
New +$52K
NS
210
DELISTED
NuStar Energy L.P.
NS
$52K 0.01%
+1,150
New +$52K
APC
211
DELISTED
Anadarko Petroleum
APC
$52K 0.01%
+600
New +$52K
ADGE
212
DELISTED
American Dg Energy Inc
ADGE
$52K 0.01%
+42,080
New +$52K
GEO icon
213
The GEO Group
GEO
$2.92B
$51K 0.01%
+2,250
New +$51K
WELL icon
214
Welltower
WELL
$112B
$49K 0.01%
+730
New +$49K
CVS icon
215
CVS Health
CVS
$93.6B
$48K 0.01%
+843
New +$48K
MTD icon
216
Mettler-Toledo International
MTD
$26.9B
$48K 0.01%
+237
New +$48K
AMX icon
217
America Movil
AMX
$59.1B
$47K 0.01%
+2,172
New +$47K
BGS icon
218
B&G Foods
BGS
$374M
$47K 0.01%
+1,378
New +$47K
EMD
219
Western Asset Emerging Markets Debt Fund
EMD
$607M
$47K 0.01%
+2,577
New +$47K
FR icon
220
First Industrial Realty Trust
FR
$6.92B
$47K 0.01%
+3,125
New +$47K
UMH
221
UMH Properties
UMH
$1.29B
$47K 0.01%
+4,544
New +$47K
FDS icon
222
Factset
FDS
$14B
$46K 0.01%
+450
New +$46K
ONCT
223
DELISTED
Oncternal Therapeutics, Inc. Common Stock
ONCT
$46K 0.01%
+5
New +$46K
AEE icon
224
Ameren
AEE
$27.2B
$45K 0.01%
+1,304
New +$45K
HAL icon
225
Halliburton
HAL
$18.8B
$45K 0.01%
+1,090
New +$45K