GAM

Gemmer Asset Management Portfolio holdings

AUM $1.13B
1-Year Return 14.45%
This Quarter Return
+2.91%
1 Year Return
+14.45%
3 Year Return
+55.65%
5 Year Return
+77.08%
10 Year Return
+165.98%
AUM
$165M
AUM Growth
+$17.7M
Cap. Flow
+$13.3M
Cap. Flow %
8.02%
Top 10 Hldgs %
50.91%
Holding
1,515
New
61
Increased
464
Reduced
164
Closed
132
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
EPC icon
376
Edgewell Personal Care
EPC
$1.04B
$17K 0.01%
169
EXP icon
377
Eagle Materials
EXP
$7.42B
$17K 0.01%
201
FDS icon
378
Factset
FDS
$14.1B
$17K 0.01%
106
FI icon
379
Fiserv
FI
$74.2B
$17K 0.01%
436
FNDF icon
380
Schwab Fundamental International Large Company Index ETF
FNDF
$17.5B
$17K 0.01%
627
-523
-45% -$14.2K
FNF icon
381
Fidelity National Financial
FNF
$16.3B
$17K 0.01%
673
HIG icon
382
Hartford Financial Services
HIG
$36.8B
$17K 0.01%
415
+11
+3% +$451
HUM icon
383
Humana
HUM
$32.8B
$17K 0.01%
93
MTB icon
384
M&T Bank
MTB
$31.2B
$17K 0.01%
131
+22
+20% +$2.86K
POOL icon
385
Pool Corp
POOL
$12B
$17K 0.01%
243
RNR icon
386
RenaissanceRe
RNR
$11.2B
$17K 0.01%
686
SRE icon
387
Sempra
SRE
$52.4B
$17K 0.01%
312
UNFI icon
388
United Natural Foods
UNFI
$1.74B
$17K 0.01%
226
VTRS icon
389
Viatris
VTRS
$12.2B
$17K 0.01%
281
WMB icon
390
Williams Companies
WMB
$70.3B
$17K 0.01%
336
+16
+5% +$810
BBBY
391
DELISTED
Bed Bath & Beyond Inc
BBBY
$17K 0.01%
216
CDK
392
DELISTED
CDK Global, Inc.
CDK
$17K 0.01%
358
ALXN
393
DELISTED
Alexion Pharmaceuticals Inc
ALXN
$17K 0.01%
98
VIAB
394
DELISTED
Viacom Inc. Class B
VIAB
$17K 0.01%
253
BHI
395
DELISTED
Baker Hughes
BHI
$17K 0.01%
273
+10
+4% +$623
BEAV
396
DELISTED
B/E Aerospace Inc
BEAV
$17K 0.01%
260
ARG
397
DELISTED
AIRGAS INC
ARG
$17K 0.01%
156
SUNE
398
DELISTED
SUNEDISON, INC COM
SUNE
$17K 0.01%
726
+14
+2% +$328
TW
399
DELISTED
TOWERS WATSON & CO COM STK CL A (DE)
TW
$17K 0.01%
130
HSP
400
DELISTED
HOSPIRA INC
HSP
$17K 0.01%
188
+9
+5% +$814