First Manhattan

First Manhattan Portfolio holdings

AUM $35.4B
1-Year Return 24.51%
This Quarter Return
+12.39%
1 Year Return
+24.51%
3 Year Return
+86.41%
5 Year Return
+172.47%
10 Year Return
+337.52%
AUM
$19.4B
AUM Growth
+$2.11B
Cap. Flow
+$81.7M
Cap. Flow %
0.42%
Top 10 Hldgs %
53.93%
Holding
1,542
New
81
Increased
246
Reduced
456
Closed
138

Sector Composition

1 Financials 38.9%
2 Technology 17.9%
3 Healthcare 11.08%
4 Communication Services 8.1%
5 Consumer Discretionary 7.16%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TLI
1301
DELISTED
Western Asset Corporate Loan Fund Inc.
TLI
$0 ﹤0.01%
2
CBL
1302
DELISTED
CBL& Associates Properties, Inc.
CBL
-78,000
Closed -$21K
AIMT
1303
DELISTED
Aimmune Therapeutics, Inc.
AIMT
-1,023,979
Closed -$17.1M
ONDK
1304
DELISTED
On Deck Capital, Inc.
ONDK
$0 ﹤0.01%
400
MNK
1305
DELISTED
MALLINCKRODT PUBLIC LIMITED COMPANY
MNK
$0 ﹤0.01%
20
CNXM
1306
DELISTED
CNX Midstream Partners LP
CNXM
-1,700
Closed -$11K
LOGM
1307
DELISTED
LogMein, Inc.
LOGM
-2
Closed
NE
1308
DELISTED
Noble Corporation
NE
-1,300
Closed
LM
1309
DELISTED
Legg Mason, Inc.
LM
-321
Closed -$15K
TMUSR
1310
DELISTED
T-Mobile US, Inc. Subscription Rights Expiring 7/27/2020
TMUSR
-350
Closed
MSBF
1311
DELISTED
MSB Financial Corp.
MSBF
-7,845
Closed -$88K
ALO
1312
DELISTED
Alio Gold Inc. Common Shares
ALO
-16,250
Closed -$20K
MFGP
1313
DELISTED
Micro Focus International plc. American Depositary Shares, each representing One Ordinary Share
MFGP
$0 ﹤0.01%
171
COWN
1314
DELISTED
Cowen Inc. Class A Common Stock
COWN
-22,151
Closed -$359K
CTIC
1315
DELISTED
CTI BioPharma Corp. (DE) Common Stock
CTIC
$0 ﹤0.01%
33
UBOH
1316
DELISTED
United Bancshares Inc/OH
UBOH
-1,000
Closed -$18K
WLL
1317
DELISTED
Whiting Petroleum Corporation
WLL
$0 ﹤0.01%
4
VVUS
1318
DELISTED
Vivus Inc
VVUS
-5,680
Closed -$4K
EE
1319
DELISTED
El Paso Electric Company
EE
-6
Closed
CIT
1320
DELISTED
CIT Group Inc.
CIT
-1,000
Closed -$20K
AES icon
1321
AES
AES
$9.12B
-1,353
Closed -$19K
AGCO icon
1322
AGCO
AGCO
$8.19B
-112
Closed -$6K
AGG icon
1323
iShares Core US Aggregate Bond ETF
AGG
$131B
-146
Closed -$17K
AL icon
1324
Air Lease Corp
AL
$7.11B
-300
Closed -$8K
ALDX icon
1325
Aldeyra Therapeutics
ALDX
$332M
-350
Closed -$1K