ICAS

Investors Capital Advisory Services Portfolio holdings

AUM $521M
1-Year Return 1.5%
This Quarter Return
+3.78%
1 Year Return
+1.5%
3 Year Return
+24.83%
5 Year Return
10 Year Return
AUM
$521M
AUM Growth
+$18.2M
Cap. Flow
+$4.63M
Cap. Flow %
0.89%
Top 10 Hldgs %
11.61%
Holding
759
New
60
Increased
274
Reduced
309
Closed
42

Sector Composition

1 Financials 8.9%
2 Healthcare 7.27%
3 Consumer Staples 6.38%
4 Energy 6.35%
5 Technology 5.76%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
DHC
251
Diversified Healthcare Trust
DHC
$1.07B
$558K 0.11%
26,800
-4,762
-15% -$99.1K
MORE
252
DELISTED
Monogram Residential Trust, Inc.
MORE
$554K 0.11%
54,261
-3,387
-6% -$34.6K
AMGN icon
253
Amgen
AMGN
$147B
$545K 0.1%
3,589
+232
+7% +$35.2K
VGIT icon
254
Vanguard Intermediate-Term Treasury ETF
VGIT
$32.5B
$545K 0.1%
8,113
-550
-6% -$36.9K
DVN icon
255
Devon Energy
DVN
$21.5B
$540K 0.1%
14,915
+4,677
+46% +$169K
ORCL icon
256
Oracle
ORCL
$847B
$539K 0.1%
13,193
+317
+2% +$13K
PXI icon
257
Invesco Dorsey Wright Energy Momentum ETF
PXI
$42.2M
$539K 0.1%
14,247
+500
+4% +$18.9K
GLD icon
258
SPDR Gold Trust
GLD
$116B
$537K 0.1%
4,253
-300
-7% -$37.9K
KMB icon
259
Kimberly-Clark
KMB
$41.6B
$536K 0.1%
3,902
-53
-1% -$7.28K
HON icon
260
Honeywell
HON
$134B
$535K 0.1%
4,833
-1,120
-19% -$124K
BXMT icon
261
Blackstone Mortgage Trust
BXMT
$3.35B
$534K 0.1%
19,309
-2,094
-10% -$57.9K
MNK
262
DELISTED
MALLINCKRODT PUBLIC LIMITED COMPANY
MNK
$529K 0.1%
8,710
+107
+1% +$6.5K
FPF
263
First Trust Intermediate Duration Preferred & Income Fund
FPF
$1.19B
$526K 0.1%
22,332
+1,266
+6% +$29.8K
IBB icon
264
iShares Biotechnology ETF
IBB
$5.64B
$524K 0.1%
6,114
+315
+5% +$27K
AEP icon
265
American Electric Power
AEP
$58.3B
$523K 0.1%
7,473
+160
+2% +$11.2K
VGT icon
266
Vanguard Information Technology ETF
VGT
$104B
$522K 0.1%
4,883
+298
+6% +$31.9K
LMNR icon
267
Limoneira
LMNR
$275M
$510K 0.1%
28,974
HAS icon
268
Hasbro
HAS
$10.8B
$508K 0.1%
6,056
+85
+1% +$7.13K
TWX
269
DELISTED
Time Warner Inc
TWX
$505K 0.1%
6,872
-12
-0.2% -$882
FYX icon
270
First Trust Small Cap Core AlphaDEX Fund
FYX
$886M
$504K 0.1%
10,955
+1,405
+15% +$64.6K
STZ icon
271
Constellation Brands
STZ
$23.9B
$502K 0.1%
3,043
+12
+0.4% +$1.98K
UPS icon
272
United Parcel Service
UPS
$71.2B
$500K 0.1%
4,648
-41
-0.9% -$4.41K
CY
273
DELISTED
Cypress Semiconductor
CY
$499K 0.1%
47,386
-2,393
-5% -$25.2K
VTR icon
274
Ventas
VTR
$31.7B
$498K 0.1%
6,845
-982
-13% -$71.4K
SEP
275
DELISTED
Spectra Engy Parters Lp
SEP
$497K 0.1%
10,550
+700
+7% +$33K