GHCM

Glen Harbor Capital Management Portfolio holdings

AUM $4.82B
1-Year Return 4.71%
This Quarter Return
+1%
1 Year Return
+4.71%
3 Year Return
+49.45%
5 Year Return
10 Year Return
AUM
$4.82B
AUM Growth
+$26.4M
Cap. Flow
+$5.13M
Cap. Flow %
0.11%
Top 10 Hldgs %
22.07%
Holding
1,377
New
54
Increased
479
Reduced
335
Closed
49

Sector Composition

1 Technology 17.48%
2 Financials 15.21%
3 Healthcare 11.87%
4 Consumer Discretionary 10.32%
5 Industrials 10.24%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AMRN
801
Amarin Corp
AMRN
$310M
$379K 0.01%
1,251
+120
+11% +$36.4K
AAT
802
American Assets Trust
AAT
$1.25B
$378K 0.01%
8,096
AVNS icon
803
Avanos Medical
AVNS
$558M
$378K 0.01%
10,098
JBGS
804
JBG SMITH
JBGS
$1.43B
$378K 0.01%
9,632
AEO icon
805
American Eagle Outfitters
AEO
$3.34B
$376K 0.01%
23,188
+836
+4% +$13.6K
BLMN icon
806
Bloomin' Brands
BLMN
$586M
$376K 0.01%
19,880
+7,392
+59% +$140K
EBS icon
807
Emergent Biosolutions
EBS
$425M
$376K 0.01%
7,196
+560
+8% +$29.3K
SMG icon
808
ScottsMiracle-Gro
SMG
$3.5B
$375K 0.01%
3,680
AX icon
809
Axos Financial
AX
$5.19B
$372K 0.01%
13,464
XLY icon
810
Consumer Discretionary Select Sector SPDR Fund
XLY
$23.6B
$371K 0.01%
3,072
-1,840
-37% -$222K
MOS icon
811
The Mosaic Company
MOS
$10.6B
$370K 0.01%
18,048
-17,536
-49% -$360K
SFNC icon
812
Simmons First National
SFNC
$2.97B
$367K 0.01%
14,718
GWB
813
DELISTED
Great Western Bancorp, Inc.
GWB
$367K 0.01%
11,116
TRP icon
814
TC Energy
TRP
$54B
$366K 0.01%
7,260
ETRN
815
DELISTED
Equitrans Midstream Corporation Common Stock
ETRN
$366K 0.01%
25,144
AAON icon
816
Aaon
AAON
$6.93B
$365K 0.01%
11,934
CVLT icon
817
Commault Systems
CVLT
$7.84B
$363K 0.01%
8,126
PLCE icon
818
Children's Place
PLCE
$170M
$363K 0.01%
4,720
-3,088
-40% -$237K
SSD icon
819
Simpson Manufacturing
SSD
$7.97B
$362K 0.01%
5,214
PDCO
820
DELISTED
Patterson Companies, Inc.
PDCO
$361K 0.01%
20,264
HMN icon
821
Horace Mann Educators
HMN
$1.89B
$359K 0.01%
7,756
STOR
822
DELISTED
STORE Capital Corporation
STOR
$358K 0.01%
9,568
+3,104
+48% +$116K
MTX icon
823
Minerals Technologies
MTX
$1.98B
$357K 0.01%
6,732
VC icon
824
Visteon
VC
$3.42B
$356K 0.01%
4,312
-1,166
-21% -$96.3K
NLSN
825
DELISTED
Nielsen Holdings plc
NLSN
$356K 0.01%
16,768
+1,536
+10% +$32.6K