FMA

FNY Managed Accounts Portfolio holdings

AUM $81.6M
1-Year Return 11.12%
This Quarter Return
+3.4%
1 Year Return
+11.12%
3 Year Return
+13.02%
5 Year Return
+115.77%
10 Year Return
AUM
$32.2M
AUM Growth
+$17.3M
Cap. Flow
+$15.7M
Cap. Flow %
48.86%
Top 10 Hldgs %
14.46%
Holding
798
New
735
Increased
7
Reduced
6
Closed
18

Sector Composition

1 Consumer Discretionary 15.42%
2 Technology 15.35%
3 Industrials 13.03%
4 Consumer Staples 8.62%
5 Healthcare 8.51%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
LFC
601
DELISTED
China Life Insurance Company Ltd.
LFC
$6K 0.02%
+435
New +$6K
WPX
602
DELISTED
WPX Energy, Inc.
WPX
$6K 0.02%
+500
New +$6K
ARRY
603
DELISTED
Array Biopharma Inc
ARRY
$6K 0.02%
+750
New +$6K
ICON
604
DELISTED
Iconix Brand Group, Inc.
ICON
$6K 0.02%
+80
New +$6K
FBR
605
DELISTED
Fibria Celulose Sa
FBR
$6K 0.02%
+700
New +$6K
CWEI
606
DELISTED
Clayton Williams Energy, Inc.
CWEI
$6K 0.02%
+50
New +$6K
AAWW
607
DELISTED
Atlas Air Worldwide Holdings, Inc.
AAWW
$6K 0.02%
+126
New +$6K
TSS
608
DELISTED
Total System Services, Inc.
TSS
$6K 0.02%
+120
New +$6K
NEWS
609
DELISTED
NewStar Financial, Inc.
NEWS
$6K 0.02%
+600
New +$6K
AJG icon
610
Arthur J. Gallagher & Co
AJG
$77.1B
$5K 0.02%
+100
New +$5K
ARCT icon
611
Arcturus Therapeutics
ARCT
$453M
$5K 0.02%
+720
New +$5K
AUPH icon
612
Aurinia Pharmaceuticals
AUPH
$1.66B
$5K 0.02%
+750
New +$5K
CI icon
613
Cigna
CI
$80.6B
$5K 0.02%
+36
New +$5K
CUBI icon
614
Customers Bancorp
CUBI
$2.23B
$5K 0.02%
+174
New +$5K
FL icon
615
Foot Locker
FL
$2.3B
$5K 0.02%
+70
New +$5K
FMC icon
616
FMC
FMC
$4.62B
$5K 0.02%
+97
New +$5K
IBN icon
617
ICICI Bank
IBN
$114B
$5K 0.02%
+746
New +$5K
MCD icon
618
McDonald's
MCD
$227B
$5K 0.02%
+40
New +$5K
MUX icon
619
McEwen Inc.
MUX
$723M
$5K 0.02%
+183
New +$5K
NWL icon
620
Newell Brands
NWL
$2.64B
$5K 0.02%
+110
New +$5K
ORLY icon
621
O'Reilly Automotive
ORLY
$89.2B
$5K 0.02%
+300
New +$5K
OUT icon
622
Outfront Media
OUT
$3.11B
$5K 0.02%
+203
New +$5K
PSTG icon
623
Pure Storage
PSTG
$25.5B
$5K 0.02%
+570
New +$5K
QLYS icon
624
Qualys
QLYS
$4.86B
$5K 0.02%
+150
New +$5K
REVG icon
625
REV Group
REVG
$3B
$5K 0.02%
+210
New +$5K