FWM

FSA Wealth Management Portfolio holdings

AUM $256M
This Quarter Return
+6.83%
1 Year Return
+15.96%
3 Year Return
5 Year Return
10 Year Return
AUM
$142M
AUM Growth
Cap. Flow
+$142M
Cap. Flow %
100%
Top 10 Hldgs %
71.19%
Holding
476
New
476
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 3.75%
2 Healthcare 2.5%
3 Financials 2.25%
4 Industrials 1.97%
5 Consumer Staples 1.47%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TJX icon
176
TJX Companies
TJX
$153B
$29K 0.02%
+470
New +$29K
CVS icon
177
CVS Health
CVS
$94.2B
$28K 0.02%
+381
New +$28K
LRCX icon
178
Lam Research
LRCX
$122B
$28K 0.02%
+96
New +$28K
VICR icon
179
Vicor
VICR
$2.25B
$28K 0.02%
+600
New +$28K
ACWI icon
180
iShares MSCI ACWI ETF
ACWI
$21.9B
$27K 0.02%
+335
New +$27K
BTA icon
181
BlackRock Long-Term Municipal Advantage Trust
BTA
$121M
$27K 0.02%
+2,100
New +$27K
BXMT icon
182
Blackstone Mortgage Trust
BXMT
$3.33B
$27K 0.02%
+728
New +$27K
EVN
183
Eaton Vance Municipal Income Trust
EVN
$415M
$27K 0.02%
+2,100
New +$27K
MHD icon
184
BlackRock MuniHoldings Fund
MHD
$582M
$27K 0.02%
+1,600
New +$27K
PK icon
185
Park Hotels & Resorts
PK
$2.32B
$27K 0.02%
+1,030
New +$27K
PMX
186
DELISTED
PIMCO Municipal Income Fund III
PMX
$27K 0.02%
+2,150
New +$27K
QCOM icon
187
Qualcomm
QCOM
$169B
$27K 0.02%
+306
New +$27K
ROKU icon
188
Roku
ROKU
$14.1B
$27K 0.02%
+200
New +$27K
DSM
189
BNY Mellon Strategic Municipal Bond Fund
DSM
$280M
$26K 0.02%
+3,300
New +$26K
FNV icon
190
Franco-Nevada
FNV
$36.6B
$26K 0.02%
+250
New +$26K
LGND icon
191
Ligand Pharmaceuticals
LGND
$3.19B
$26K 0.02%
+248
New +$26K
MVF icon
192
BlackRock MuniVest Fund
MVF
$366M
$26K 0.02%
+2,800
New +$26K
NAD icon
193
Nuveen Quality Municipal Income Fund
NAD
$2.64B
$26K 0.02%
+1,806
New +$26K
ORI icon
194
Old Republic International
ORI
$9.99B
$26K 0.02%
+1,145
New +$26K
BAX icon
195
Baxter International
BAX
$12.5B
$25K 0.02%
+296
New +$25K
BK icon
196
Bank of New York Mellon
BK
$73.7B
$25K 0.02%
+500
New +$25K
BP icon
197
BP
BP
$90.2B
$25K 0.02%
+657
New +$25K
ATRI
198
DELISTED
Atrion Corp
ATRI
$25K 0.02%
+33
New +$25K
AB icon
199
AllianceBernstein
AB
$4.36B
$24K 0.02%
+796
New +$24K
MPV
200
Barings Participation Investors
MPV
$212M
$24K 0.02%
+1,500
New +$24K