ECM

Endex Capital Management Portfolio holdings

AUM $107M
This Quarter Return
+9.93%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$107M
AUM Growth
+$107M
Cap. Flow
+$90K
Cap. Flow %
0.08%
Top 10 Hldgs %
21.31%
Holding
324
New
3
Increased
1
Reduced
Closed
3

Sector Composition

1 Technology 16.17%
2 Financials 14.55%
3 Healthcare 13.52%
4 Industrials 10.75%
5 Energy 8.69%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CCEP icon
201
Coca-Cola Europacific Partners
CCEP
$39.7B
$118K 0.11%
2,684
JNPR
202
DELISTED
Juniper Networks
JNPR
$117K 0.11%
5,167
XLNX
203
DELISTED
Xilinx Inc
XLNX
$117K 0.11%
2,541
GAP
204
The Gap, Inc.
GAP
$8.35B
$116K 0.11%
2,963
CTXS
205
DELISTED
Citrix Systems Inc
CTXS
$115K 0.11%
1,823
DTE icon
206
DTE Energy
DTE
$28.1B
$112K 0.1%
1,683
SIAL
207
DELISTED
SIGMA - ALDRICH CORP
SIAL
$112K 0.1%
1,188
CA
208
DELISTED
CA, Inc.
CA
$111K 0.1%
3,301
ADSK icon
209
Autodesk
ADSK
$68B
$108K 0.1%
2,137
BF.B icon
210
Brown-Forman Class B
BF.B
$13.8B
$108K 0.1%
1,423
DVA icon
211
DaVita
DVA
$9.74B
$104K 0.1%
1,640
BEAM
212
DELISTED
BEAM INC COM STK (DE)
BEAM
$104K 0.1%
1,521
TNL icon
213
Travel + Leisure Co
TNL
$4.05B
$103K 0.1%
1,399
FMC icon
214
FMC
FMC
$4.8B
$102K 0.1%
1,352
KLAC icon
215
KLA
KLAC
$112B
$102K 0.1%
1,578
LLTC
216
DELISTED
Linear Technology Corp
LLTC
$102K 0.1%
2,229
RHT
217
DELISTED
Red Hat Inc
RHT
$102K 0.1%
1,829
STZ icon
218
Constellation Brands
STZ
$26.7B
$101K 0.09%
1,442
TXT icon
219
Textron
TXT
$14.2B
$101K 0.09%
2,744
LLL
220
DELISTED
L3 Technologies, Inc.
LLL
$101K 0.09%
949
ALTR
221
DELISTED
ALTERA CORP
ALTR
$100K 0.09%
3,089
XL
222
DELISTED
XL Group Ltd.
XL
$95K 0.09%
2,986
NVDA icon
223
NVIDIA
NVDA
$4.15T
$94K 0.09%
5,894
WEC icon
224
WEC Energy
WEC
$34.1B
$94K 0.09%
2,270
JWN
225
DELISTED
Nordstrom
JWN
$93K 0.09%
1,506