HAMF

Hatteras Alternative Mutual Funds Portfolio holdings

AUM $221M
This Quarter Return
+7.55%
1 Year Return
+39.51%
3 Year Return
5 Year Return
10 Year Return
AUM
$221M
AUM Growth
+$221M
Cap. Flow
+$10.2M
Cap. Flow %
4.6%
Top 10 Hldgs %
22.07%
Holding
240
New
86
Increased
36
Reduced
27
Closed
63

Sector Composition

1 Technology 26.56%
2 Consumer Discretionary 18.05%
3 Industrials 14.87%
4 Communication Services 9.9%
5 Materials 8.49%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CY
126
DELISTED
Cypress Semiconductor
CY
$488K 0.22%
44,700
-47,002
-51% -$513K
TXTR
127
DELISTED
TEXTURA CORPORATION COM
TXTR
$487K 0.22%
+20,601
New +$487K
TNET icon
128
TriNet
TNET
$3.52B
$481K 0.22%
+20,000
New +$481K
GBX icon
129
The Greenbrier Companies
GBX
$1.44B
$421K 0.19%
7,311
-20,334
-74% -$1.17M
CVC
130
DELISTED
CABLEVISION SYS CP NY GRP CL-A
CVC
$418K 0.19%
23,671
VXX
131
DELISTED
iPath S&P 500 VIX Short-Term Futures ETN due 1/30/2019
VXX
$410K 0.19%
+14,326
New +$410K
NXST icon
132
Nexstar Media Group
NXST
$6.2B
$408K 0.18%
7,910
AWAY
133
DELISTED
HOMEAWAY INC COM
AWAY
$407K 0.18%
+11,700
New +$407K
WDAY icon
134
Workday
WDAY
$61.6B
$406K 0.18%
+4,518
New +$406K
CCI icon
135
Crown Castle
CCI
$43.2B
$401K 0.18%
+5,400
New +$401K
RKUS
136
DELISTED
RUCKUS WIRELESS INC COM STK (DE)
RKUS
$401K 0.18%
+33,679
New +$401K
OKS
137
DELISTED
Oneok Partners LP
OKS
$398K 0.18%
+6,800
New +$398K
RAMP icon
138
LiveRamp
RAMP
$1.83B
$397K 0.18%
+18,300
New +$397K
ADEA icon
139
Adeia
ADEA
$1.64B
$395K 0.18%
+17,900
New +$395K
CIEN icon
140
Ciena
CIEN
$13.3B
$395K 0.18%
18,250
-39,539
-68% -$856K
IMS
141
DELISTED
IMS HEALTH HLDGS INC COM STK (DE)
IMS
$395K 0.18%
+15,400
New +$395K
BLOX
142
DELISTED
Infoblox Inc
BLOX
$392K 0.18%
+29,800
New +$392K
PMCS
143
DELISTED
P M C SIERRA INC
PMCS
$389K 0.18%
51,170
-18,032
-26% -$137K
SBGI icon
144
Sinclair Inc
SBGI
$1.01B
$386K 0.17%
11,109
DIS icon
145
Walt Disney
DIS
$213B
$373K 0.17%
+4,353
New +$373K
BIG
146
DELISTED
Big Lots, Inc.
BIG
$362K 0.16%
+7,932
New +$362K
PARA
147
DELISTED
Paramount Global Class B
PARA
$360K 0.16%
+5,795
New +$360K
CSCO icon
148
Cisco
CSCO
$274B
$355K 0.16%
+14,276
New +$355K
HK
149
DELISTED
Halcon Resources Corporation
HK
$331K 0.15%
45,364
-178,225
-80% -$1.3M
WDC icon
150
Western Digital
WDC
$27.9B
$325K 0.15%
+3,525
New +$325K