GH

GAM Holding Portfolio holdings

AUM $1.42B
1-Year Return 23.63%
This Quarter Return
+3.09%
1 Year Return
+23.63%
3 Year Return
+130.55%
5 Year Return
+214.99%
10 Year Return
+548.85%
AUM
$4.57B
AUM Growth
Cap. Flow
+$4.32B
Cap. Flow %
94.57%
Top 10 Hldgs %
12.74%
Holding
889
New
870
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 16.88%
2 Healthcare 11.22%
3 Consumer Discretionary 9.95%
4 Financials 9.59%
5 Industrials 9.12%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
POWI icon
651
Power Integrations
POWI
$2.52B
$392K 0.01%
+19,344
New +$392K
TXI
652
DELISTED
TEXAS INDUSTRIES INC
TXI
$391K 0.01%
+6,000
New +$391K
FDML
653
DELISTED
Federal-Mogul Holdings Corporation
FDML
$388K 0.01%
+38,000
New +$388K
INSY
654
DELISTED
Insys Therapeutics, Inc.
INSY
$387K 0.01%
+83,940
New +$387K
NDSN icon
655
Nordson
NDSN
$12.6B
$374K 0.01%
+5,396
New +$374K
MR
656
DELISTED
MINDRAY MED INTL LTD SPONSORED ADR REPSTG CL A
MR
$374K 0.01%
+10,000
New +$374K
BWLD
657
DELISTED
Buffalo Wild Wings, Inc.
BWLD
$373K 0.01%
+3,800
New +$373K
CCI icon
658
Crown Castle
CCI
$41.9B
$369K 0.01%
+5,099
New +$369K
AD
659
Array Digital Infrastructure, Inc.
AD
$4.54B
$367K 0.01%
+10,000
New +$367K
KRE icon
660
SPDR S&P Regional Banking ETF
KRE
$3.99B
$366K 0.01%
+10,800
New +$366K
DFT
661
DELISTED
DuPont Fabros Technology Inc.
DFT
$362K 0.01%
+15,000
New +$362K
NAV
662
DELISTED
Navistar International
NAV
$361K 0.01%
+13,000
New +$361K
PPG icon
663
PPG Industries
PPG
$24.8B
$360K 0.01%
+4,916
New +$360K
MLCO icon
664
Melco Resorts & Entertainment
MLCO
$3.8B
$358K 0.01%
+16,000
New +$358K
RTN
665
DELISTED
Raytheon Company
RTN
$357K 0.01%
+5,396
New +$357K
EQY
666
DELISTED
Equity One
EQY
$355K 0.01%
+15,700
New +$355K
FON
667
DELISTED
SPRINT CORP FON COM
FON
$352K 0.01%
+50,100
New +$352K
EHC icon
668
Encompass Health
EHC
$12.6B
$351K 0.01%
+15,335
New +$351K
TAP icon
669
Molson Coors Class B
TAP
$9.96B
$342K 0.01%
+7,148
New +$342K
DRH icon
670
DiamondRock Hospitality
DRH
$1.76B
$340K 0.01%
+36,443
New +$340K
VNET
671
VNET Group
VNET
$2.13B
$340K 0.01%
+30,000
New +$340K
YPF icon
672
YPF
YPF
$12.1B
$340K 0.01%
+23,050
New +$340K
CTCM
673
DELISTED
CTC MEDIA INC COM STK
CTCM
$334K 0.01%
+30,000
New +$334K
SUI icon
674
Sun Communities
SUI
$16.2B
$333K 0.01%
+6,700
New +$333K
HSY icon
675
Hershey
HSY
$37.6B
$331K 0.01%
+3,709
New +$331K