FMA

FNY Managed Accounts Portfolio holdings

AUM $81.6M
This Quarter Return
+2.38%
1 Year Return
+11.12%
3 Year Return
+13.02%
5 Year Return
+115.77%
10 Year Return
AUM
$81.6M
AUM Growth
+$81.6M
Cap. Flow
-$22.5M
Cap. Flow %
-27.58%
Top 10 Hldgs %
75.89%
Holding
1,018
New
292
Increased
85
Reduced
171
Closed
338

Sector Composition

1 Technology 18.79%
2 Consumer Staples 18.68%
3 Materials 15.2%
4 Industrials 6.93%
5 Communication Services 4.72%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AT
151
DELISTED
Atlantic Power Corporation
AT
$8K 0.01%
+4,000
New +$8K
ANDV
152
DELISTED
Andeavor
ANDV
$8K 0.01%
84
+29
+53% +$2.76K
FBC
153
DELISTED
Flagstar Bancorp, Inc. New
FBC
$8K 0.01%
+240
New +$8K
ALL icon
154
Allstate
ALL
$53.6B
$7K 0.01%
76
-35
-32% -$3.22K
APAM icon
155
Artisan Partners
APAM
$3.3B
$7K 0.01%
219
+186
+564% +$5.95K
CFG icon
156
Citizens Financial Group
CFG
$22.6B
$7K 0.01%
167
-315
-65% -$13.2K
CPS icon
157
Cooper-Standard Automotive
CPS
$649M
$7K 0.01%
57
-27
-32% -$3.32K
CXT icon
158
Crane NXT
CXT
$3.43B
$7K 0.01%
84
-38
-31% -$3.17K
EXPD icon
159
Expeditors International
EXPD
$16.4B
$7K 0.01%
124
+66
+114% +$3.73K
FBIN icon
160
Fortune Brands Innovations
FBIN
$7.02B
$7K 0.01%
119
+104
+693% +$6.12K
HAFC icon
161
Hanmi Financial
HAFC
$758M
$7K 0.01%
+244
New +$7K
HIG icon
162
Hartford Financial Services
HIG
$37.2B
$7K 0.01%
152
+124
+443% +$5.71K
HPQ icon
163
HP
HPQ
$26.7B
$7K 0.01%
330
-152
-32% -$3.22K
HSY icon
164
Hershey
HSY
$37.3B
$7K 0.01%
+75
New +$7K
NDAQ icon
165
Nasdaq
NDAQ
$54.4B
$7K 0.01%
83
-339
-80% -$28.6K
PBH icon
166
Prestige Consumer Healthcare
PBH
$3.35B
$7K 0.01%
233
+174
+295% +$5.23K
RDN icon
167
Radian Group
RDN
$4.72B
$7K 0.01%
+406
New +$7K
SON icon
168
Sonoco
SON
$4.66B
$7K 0.01%
+157
New +$7K
TDS icon
169
Telephone and Data Systems
TDS
$4.61B
$7K 0.01%
253
-117
-32% -$3.24K
VSH icon
170
Vishay Intertechnology
VSH
$2.1B
$7K 0.01%
379
-173
-31% -$3.2K
LUB
171
DELISTED
Luby's Inc.
LUB
$7K 0.01%
+2,575
New +$7K
VIAB
172
DELISTED
Viacom Inc. Class B
VIAB
$7K 0.01%
229
-106
-32% -$3.24K
NTRI
173
DELISTED
NutriSystem, Inc.
NTRI
$7K 0.01%
+292
New +$7K
AAN.A
174
DELISTED
AARON'S INC CL-A
AAN.A
$7K 0.01%
167
-77
-32% -$3.23K
A icon
175
Agilent Technologies
A
$35.7B
$6K 0.01%
98
-46
-32% -$2.82K