IMS

Index Management Solutions Portfolio holdings

AUM $101M
This Quarter Return
-19.8%
1 Year Return
-12.08%
3 Year Return
5 Year Return
10 Year Return
AUM
$101M
AUM Growth
+$101M
Cap. Flow
+$15.2M
Cap. Flow %
15.09%
Top 10 Hldgs %
53.14%
Holding
846
New
81
Increased
316
Reduced
252
Closed
136

Sector Composition

1 Communication Services 23.68%
2 Consumer Discretionary 21.47%
3 Technology 13.45%
4 Healthcare 10.81%
5 Consumer Staples 4.47%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BTCM
26
BIT Mining
BTCM
$50.1M
$542K 0.54%
33,412
+9,165
+38% +$149K
DANG
27
DELISTED
E-COMMERCE CHINA DANGDANG INC SPNSRD ADS REP COM CL A (CYM)
DANG
$496K 0.49%
83,006
+29,309
+55% +$175K
TOUR
28
Tuniu
TOUR
$101M
$423K 0.42%
35,620
+8,867
+33% +$105K
FENG
29
Phoenix New Media
FENG
$28.7M
$422K 0.42%
96,297
+26,190
+37% +$115K
DL
30
DELISTED
China Distance Education Holdings Limited
DL
$400K 0.4%
31,264
+7,623
+32% +$97.5K
KBA icon
31
KraneShares Bosera MSCI China A 50 Connect Index ETF
KBA
$220M
$388K 0.39%
9,378
-131
-1% -$5.42K
LKM
32
DELISTED
Link Motion Inc.
LKM
$361K 0.36%
108,925
+52,852
+94% +$175K
ZPIN
33
DELISTED
Zhaopin Limited
ZPIN
$350K 0.35%
27,120
+5,226
+24% +$67.4K
MTBL
34
DELISTED
Moatable, Inc. American Depositary Share (each representing forty-five (45) Class A Ordinary Shares)
MTBL
$336K 0.33%
108,437
+33,765
+45% +$105K
CCIH
35
DELISTED
Chinacache International Holdings Ltd
CCIH
$304K 0.3%
38,864
+20,017
+106% +$157K
DSKY
36
DELISTED
IDREAMSKY TECHNOLOGY LTD ADS REPTSG SHS CL A
DSKY
$257K 0.26%
25,406
+3,828
+18% +$38.7K
LONG
37
DELISTED
ELONG, INC. AMERICAN DEPOSITARY SHARES
LONG
$256K 0.25%
15,049
+5,334
+55% +$90.7K
KZ
38
DELISTED
KongZhong Corporation
KZ
$242K 0.24%
37,013
+10,020
+37% +$65.5K
DATE
39
DELISTED
JIAYUAN COM INTL LTD SPON ADR (CYM)
DATE
$201K 0.2%
32,729
+10,844
+50% +$66.6K
INFY icon
40
Infosys
INFY
$69.7B
$183K 0.18%
9,600
CAG icon
41
Conagra Brands
CAG
$9.16B
$152K 0.15%
3,760
+83
+2% +$3.36K
LEJU
42
DELISTED
Leju Holdings Limited American Depositary Shares, each representing ten (10) Ordinary Shares
LEJU
$150K 0.15%
26,921
+9,610
+56% +$53.5K
CLX icon
43
Clorox
CLX
$14.5B
$133K 0.13%
1,149
+3
+0.3% +$347
AWK icon
44
American Water Works
AWK
$28B
$131K 0.13%
2,372
+90
+4% +$4.97K
DOX icon
45
Amdocs
DOX
$9.41B
$131K 0.13%
2,304
-275
-11% -$15.6K
AVB icon
46
AvalonBay Communities
AVB
$27.9B
$125K 0.12%
716
+44
+7% +$7.68K
CME icon
47
CME Group
CME
$96B
$125K 0.12%
1,344
+92
+7% +$8.56K
TDG icon
48
TransDigm Group
TDG
$78.8B
$120K 0.12%
566
+187
+49% +$39.6K
NLY icon
49
Annaly Capital Management
NLY
$13.6B
$117K 0.12%
11,854
+969
+9% +$9.56K
DGX icon
50
Quest Diagnostics
DGX
$20.3B
$116K 0.12%
1,892
+246
+15% +$15.1K