GF

Gerstein Fisher Portfolio holdings

AUM $811M
This Quarter Return
+3.9%
1 Year Return
+13.96%
3 Year Return
+33.82%
5 Year Return
10 Year Return
AUM
$811M
AUM Growth
+$811M
Cap. Flow
+$51.7M
Cap. Flow %
6.38%
Top 10 Hldgs %
39.95%
Holding
458
New
51
Increased
183
Reduced
111
Closed
32
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ABT icon
201
Abbott
ABT
$231B
$691K 0.09%
16,348
-213
-1% -$9K
ARGO
202
DELISTED
Argo Group International Holdings, Ltd.
ARGO
$691K 0.09%
12,241
MDC
203
DELISTED
M.D.C. Holdings, Inc.
MDC
$688K 0.08%
26,656
REXR icon
204
Rexford Industrial Realty
REXR
$9.8B
$679K 0.08%
29,665
-28
-0.1% -$641
CORE
205
DELISTED
Core Mark Holding Co., Inc.
CORE
$679K 0.08%
18,960
-48
-0.3% -$1.72K
IJR icon
206
iShares Core S&P Small-Cap ETF
IJR
$85.2B
$670K 0.08%
5,394
-268
-5% -$33.3K
RCL icon
207
Royal Caribbean
RCL
$98.7B
$667K 0.08%
8,903
-30
-0.3% -$2.25K
AOM icon
208
iShares Core Moderate Allocation ETF
AOM
$1.58B
$663K 0.08%
18,842
+3,135
+20% +$110K
ORLY icon
209
O'Reilly Automotive
ORLY
$88B
$656K 0.08%
2,343
APTV icon
210
Aptiv
APTV
$17.3B
$652K 0.08%
9,142
+10
+0.1% +$713
EXPR
211
DELISTED
Express, Inc.
EXPR
$649K 0.08%
55,006
SYK icon
212
Stryker
SYK
$150B
$631K 0.08%
5,423
+404
+8% +$47K
LLY icon
213
Eli Lilly
LLY
$657B
$630K 0.08%
7,847
-700
-8% -$56.2K
RWO icon
214
SPDR Dow Jones Global Real Estate ETF
RWO
$1.14B
$626K 0.08%
12,567
+637
+5% +$31.7K
SBUX icon
215
Starbucks
SBUX
$100B
$625K 0.08%
11,536
-55
-0.5% -$2.98K
RPAI
216
DELISTED
RETAIL PROPERTIES OF AMERICA, INC.
RPAI
$623K 0.08%
37,070
COKE icon
217
Coca-Cola Consolidated
COKE
$10.2B
$621K 0.08%
4,189
HON icon
218
Honeywell
HON
$139B
$621K 0.08%
5,323
+134
+3% +$15.6K
NEE icon
219
NextEra Energy, Inc.
NEE
$148B
$613K 0.08%
5,013
-34
-0.7% -$4.16K
BAH icon
220
Booz Allen Hamilton
BAH
$13.4B
$609K 0.08%
19,261
VWO icon
221
Vanguard FTSE Emerging Markets ETF
VWO
$96.4B
$606K 0.07%
16,112
-5,343
-25% -$201K
PAYX icon
222
Paychex
PAYX
$50.2B
$604K 0.07%
10,434
+50
+0.5% +$2.89K
EG icon
223
Everest Group
EG
$14.3B
$603K 0.07%
3,175
+4
+0.1% +$760
EDR
224
DELISTED
Education Realty Trust Inc
EDR
$599K 0.07%
+13,894
New +$599K
PPG icon
225
PPG Industries
PPG
$25.1B
$598K 0.07%
5,785