FLC

Francis L. Coolidge Portfolio holdings

AUM $82.2M
This Quarter Return
+2.63%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$82.2M
AUM Growth
Cap. Flow
+$82.2M
Cap. Flow %
100%
Top 10 Hldgs %
27.04%
Holding
213
New
213
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 15.12%
2 Industrials 14.81%
3 Healthcare 13.74%
4 Energy 13.37%
5 Financials 10.18%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ATRO icon
151
Astronics
ATRO
$1.29B
$49K 0.06%
+1,190
New +$49K
PODD icon
152
Insulet
PODD
$23.9B
$47K 0.06%
+1,500
New +$47K
VECO icon
153
Veeco
VECO
$1.48B
$45K 0.05%
+1,259
New +$45K
SNI
154
DELISTED
Scripps Networks Interactive, Inc Common Class A
SNI
$45K 0.05%
+675
New +$45K
GWRE icon
155
Guidewire Software
GWRE
$18.3B
$44K 0.05%
+1,042
New +$44K
ELLI
156
DELISTED
Ellie Mae Inc
ELLI
$44K 0.05%
+1,893
New +$44K
IDTI
157
DELISTED
Integrated Device Technology I
IDTI
$44K 0.05%
+5,482
New +$44K
IWR icon
158
iShares Russell Mid-Cap ETF
IWR
$44.4B
$43K 0.05%
+331
New +$43K
GTLS icon
159
Chart Industries
GTLS
$8.96B
$41K 0.05%
+440
New +$41K
HXL icon
160
Hexcel
HXL
$5.02B
$41K 0.05%
+1,200
New +$41K
OPCH icon
161
Option Care Health
OPCH
$4.65B
$41K 0.05%
+2,496
New +$41K
STAA icon
162
STAAR Surgical
STAA
$1.36B
$41K 0.05%
+4,000
New +$41K
FLTX
163
DELISTED
Fleetmatics Group PLC
FLTX
$41K 0.05%
+1,226
New +$41K
NBIS
164
Nebius Group N.V. Class A Ordinary Shares
NBIS
$16.3B
$40K 0.05%
+1,451
New +$40K
IWM icon
165
iShares Russell 2000 ETF
IWM
$67B
$39K 0.05%
+403
New +$39K
NGD
166
New Gold Inc
NGD
$4.67B
$39K 0.05%
+6,024
New +$39K
CRAY
167
DELISTED
Cray, Inc.
CRAY
$39K 0.05%
+2,006
New +$39K
FWM
168
DELISTED
FAIRWAY GROUP HLDGS CORP CL A COM STK (DE)
FWM
$39K 0.05%
+1,593
New +$39K
WPRT
169
Westport Fuel Systems
WPRT
$48.4M
$38K 0.05%
+1,136
New +$38K
OREX
170
DELISTED
Orexigen Therapeutics, Inc.
OREX
$38K 0.05%
+6,574
New +$38K
TXTR
171
DELISTED
TEXTURA CORPORATION COM
TXTR
$37K 0.05%
+1,408
New +$37K
PWR icon
172
Quanta Services
PWR
$56.3B
$36K 0.04%
+1,370
New +$36K
CLR
173
DELISTED
CONTINENTAL RESOURCES INC.
CLR
$36K 0.04%
+423
New +$36K
VIAB
174
DELISTED
Viacom Inc. Class B
VIAB
$36K 0.04%
+532
New +$36K
ASEI
175
DELISTED
AMER SCIENCE & ENGR INC.
ASEI
$35K 0.04%
+624
New +$35K