FCFS

First Command Financial Services Portfolio holdings

AUM $1.06B
1-Year Return 10.74%
This Quarter Return
+2.64%
1 Year Return
+10.74%
3 Year Return
+34.38%
5 Year Return
+53.06%
10 Year Return
AUM
$179M
AUM Growth
+$18.5M
Cap. Flow
+$14.5M
Cap. Flow %
8.12%
Top 10 Hldgs %
49.34%
Holding
427
New
22
Increased
59
Reduced
84
Closed
14
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
INDA icon
226
iShares MSCI India ETF
INDA
$9.26B
$38K 0.02%
1,051
IWB icon
227
iShares Russell 1000 ETF
IWB
$43.4B
$38K 0.02%
256
VOD icon
228
Vodafone
VOD
$28.5B
$38K 0.02%
1,189
ADBE icon
229
Adobe
ADBE
$148B
$37K 0.02%
210
CYH icon
230
Community Health Systems
CYH
$409M
$37K 0.02%
8,583
OGS icon
231
ONE Gas
OGS
$4.56B
$37K 0.02%
500
AMLP icon
232
Alerian MLP ETF
AMLP
$10.5B
$35K 0.02%
650
MON
233
DELISTED
Monsanto Co
MON
$35K 0.02%
300
ISRA icon
234
VanEck Israel ETF
ISRA
$118M
$34K 0.02%
1,127
IWM icon
235
iShares Russell 2000 ETF
IWM
$67.8B
$34K 0.02%
225
LLY icon
236
Eli Lilly
LLY
$652B
$34K 0.02%
394
KEY icon
237
KeyCorp
KEY
$20.8B
$33K 0.02%
1,626
NVS icon
238
Novartis
NVS
$251B
$33K 0.02%
435
GLW icon
239
Corning
GLW
$61B
$32K 0.02%
1,014
-75
-7% -$2.37K
C icon
240
Citigroup
C
$176B
$31K 0.02%
406
+75
+23% +$5.73K
ENB icon
241
Enbridge
ENB
$105B
$31K 0.02%
786
-38
-5% -$1.5K
TIP icon
242
iShares TIPS Bond ETF
TIP
$13.6B
$31K 0.02%
271
YUM icon
243
Yum! Brands
YUM
$40.1B
$31K 0.02%
381
CBSH icon
244
Commerce Bancshares
CBSH
$8.08B
$30K 0.02%
757
-1
-0.1% -$40
ED icon
245
Consolidated Edison
ED
$35.4B
$30K 0.02%
354
MAA icon
246
Mid-America Apartment Communities
MAA
$17B
$30K 0.02%
300
TRV icon
247
Travelers Companies
TRV
$62B
$30K 0.02%
224
XLY icon
248
Consumer Discretionary Select Sector SPDR Fund
XLY
$23.6B
$30K 0.02%
300
FTV icon
249
Fortive
FTV
$16.2B
$29K 0.02%
478
HAL icon
250
Halliburton
HAL
$18.8B
$29K 0.02%
600