Fiera Capital (Canada)

Fiera Capital (Canada) Portfolio holdings

AUM $29.5B
1-Year Return 18.02%
This Quarter Return
-11.73%
1 Year Return
+18.02%
3 Year Return
+72.89%
5 Year Return
+140.65%
10 Year Return
+368.22%
AUM
$22.1B
AUM Growth
-$3.08B
Cap. Flow
-$246M
Cap. Flow %
-1.11%
Top 10 Hldgs %
27.24%
Holding
777
New
93
Increased
231
Reduced
282
Closed
124

Sector Composition

1 Financials 24.3%
2 Industrials 13.2%
3 Healthcare 12.3%
4 Consumer Discretionary 10.5%
5 Technology 10.42%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
NEE icon
376
NextEra Energy, Inc.
NEE
$144B
$2.22M 0.01%
50,968
-772
-1% -$33.6K
NTC
377
DELISTED
Nuveen Connecticut Quality Municipal Income Fund
NTC
$2.21M 0.01%
196,000
CBM
378
DELISTED
Cambrex Corporation
CBM
$2.2M 0.01%
58,167
-327,532
-85% -$12.4M
BSE
379
DELISTED
BLACKROCK NEW YORK MUNICIPAL INCOME QUALITY TRUST
BSE
$2.2M 0.01%
181,692
VRSK icon
380
Verisk Analytics
VRSK
$34.9B
$2.19M 0.01%
20,070
+632
+3% +$68.9K
JJSF icon
381
J&J Snack Foods
JJSF
$2.02B
$2.18M 0.01%
+15,047
New +$2.18M
NAZ icon
382
Nuveen Arizona Quality Municipal Income Fund
NAZ
$136M
$2.15M 0.01%
+180,946
New +$2.15M
LGND icon
383
Ligand Pharmaceuticals
LGND
$3.24B
$2.15M 0.01%
+25,339
New +$2.15M
BRK.A icon
384
Berkshire Hathaway Class A
BRK.A
$1.06T
$2.14M 0.01%
7
-1
-13% -$306K
AIMT
385
DELISTED
Aimmune Therapeutics, Inc.
AIMT
$2.13M 0.01%
89,053
+31,686
+55% +$758K
KO icon
386
Coca-Cola
KO
$289B
$2.13M 0.01%
44,947
-3,834
-8% -$182K
NKG
387
DELISTED
Nuveen Georgia Quality Municipal Income Fund
NKG
$2.13M 0.01%
194,172
+33,248
+21% +$364K
XLRN
388
DELISTED
Acceleron Pharma Inc.
XLRN
$2.13M 0.01%
+48,785
New +$2.13M
RHT
389
DELISTED
Red Hat Inc
RHT
$2.12M 0.01%
12,074
-12,860
-52% -$2.26M
NPV icon
390
Nuveen Virginia Quality Municipal Income Fund
NPV
$214M
$2.11M 0.01%
180,395
+24,544
+16% +$288K
VBR icon
391
Vanguard Small-Cap Value ETF
VBR
$31.5B
$2.08M 0.01%
18,274
+1,660
+10% +$189K
NUO
392
DELISTED
Nuveen Ohio Quality Municipal Income Fund
NUO
$2.08M 0.01%
156,232
+22,094
+16% +$294K
ABT icon
393
Abbott
ABT
$234B
$2.01M 0.01%
27,841
-1,113
-4% -$80.5K
WIA
394
Western Asset Inflation-Linked Income Fund
WIA
$197M
$2.01M 0.01%
189,552
-59
-0% -$625
CEV
395
Eaton Vance California Municipal Income Trust
CEV
$70.4M
$2M 0.01%
181,000
-332,551
-65% -$3.68M
NVTA
396
DELISTED
Invitae Corporation
NVTA
$1.98M 0.01%
+178,690
New +$1.98M
PCOM
397
DELISTED
Points.com Inc. Common Shares
PCOM
$1.93M 0.01%
193,088
+149,207
+340% +$1.49M
SCVL icon
398
Shoe Carnival
SCVL
$636M
$1.92M 0.01%
+114,524
New +$1.92M
MTDR icon
399
Matador Resources
MTDR
$5.97B
$1.88M 0.01%
121,281
-2,192
-2% -$34.1K
AVNT icon
400
Avient
AVNT
$3.29B
$1.88M 0.01%
65,765
-1,013
-2% -$29K