FCAM

F&C Asset Management Portfolio holdings

AUM $7.92B
This Quarter Return
+2.61%
1 Year Return
+24.33%
3 Year Return
5 Year Return
10 Year Return
AUM
$7.92B
AUM Growth
+$7.92B
Cap. Flow
-$324M
Cap. Flow %
-4.09%
Top 10 Hldgs %
14.97%
Holding
761
New
31
Increased
381
Reduced
247
Closed
27

Sector Composition

1 Financials 15.38%
2 Healthcare 14.48%
3 Technology 13.49%
4 Industrials 13.02%
5 Consumer Discretionary 9.24%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HRL icon
626
Hormel Foods
HRL
$13.8B
$483K 0.01%
9,808
+225
+2% +$11.1K
FLIR
627
DELISTED
FLIR Systems, Inc. (DE) Common Stock
FLIR
$479K 0.01%
13,300
+5,000
+60% +$180K
DRI icon
628
Darden Restaurants
DRI
$24.3B
$473K 0.01%
9,318
+299
+3% +$15.2K
MWV
629
DELISTED
MEADWESTVACO CORP
MWV
$470K 0.01%
12,488
JOY
630
DELISTED
Joy Global Inc
JOY
$469K 0.01%
8,090
+491
+6% +$28.5K
SEE icon
631
Sealed Air
SEE
$4.71B
$449K 0.01%
13,657
CTAS icon
632
Cintas
CTAS
$83.1B
$445K 0.01%
7,457
RHI icon
633
Robert Half
RHI
$3.79B
$442K 0.01%
10,532
+679
+7% +$28.5K
DNR
634
DELISTED
Denbury Resources, Inc.
DNR
$436K 0.01%
26,580
DHI icon
635
D.R. Horton
DHI
$51B
$431K 0.01%
19,910
HAR
636
DELISTED
Harman International Industries
HAR
$430K 0.01%
4,044
ADT
637
DELISTED
ADT CORP
ADT
$415K 0.01%
13,859
+600
+5% +$18K
FTR
638
DELISTED
Frontier Communications Corp.
FTR
$409K 0.01%
71,761
+574
+0.8% +$3.27K
FDO
639
DELISTED
FAMILY DOLLAR STORES
FDO
$404K 0.01%
6,961
+62
+0.9% +$3.6K
LM
640
DELISTED
Legg Mason, Inc.
LM
$403K 0.01%
8,209
OI icon
641
O-I Glass
OI
$1.97B
$401K 0.01%
11,858
+318
+3% +$10.8K
QEP
642
DELISTED
QEP RESOURCES, INC.
QEP
$399K 0.01%
13,542
+864
+7% +$25.5K
GT icon
643
Goodyear
GT
$2.4B
$392K 0.01%
14,981
FRT icon
644
Federal Realty Investment Trust
FRT
$8.62B
$386K ﹤0.01%
3,363
+1,112
+49% +$128K
ETFC
645
DELISTED
E*Trade Financial Corporation
ETFC
$385K ﹤0.01%
16,709
-1,300
-7% -$30K
SNA icon
646
Snap-on
SNA
$16.8B
$380K ﹤0.01%
3,352
GOL
647
DELISTED
Gol Linhas Aéreas Inteligentes S.A. American Depositary Shares (Each representing Ten Preferred Shares)
GOL
$379K ﹤0.01%
78,000
-13,700
-15% -$66.6K
AVY icon
648
Avery Dennison
AVY
$13.2B
$375K ﹤0.01%
7,409
+300
+4% +$15.2K
TGNA icon
649
TEGNA Inc
TGNA
$3.41B
$372K ﹤0.01%
13,491
BN icon
650
Brookfield
BN
$98.4B
$363K ﹤0.01%
7,300
+1,000
+16% +$49.7K