Jacobs Levy Equity Management

Jacobs Levy Equity Management Portfolio holdings

AUM $25.5B
1-Year Return 20.81%
This Quarter Return
+0.64%
1 Year Return
+20.81%
3 Year Return
+97.14%
5 Year Return
+210.43%
10 Year Return
+444.59%
AUM
$5.26B
AUM Growth
-$618M
Cap. Flow
-$613M
Cap. Flow %
-11.66%
Top 10 Hldgs %
13.58%
Holding
928
New
152
Increased
197
Reduced
368
Closed
132

Sector Composition

1 Financials 17.72%
2 Healthcare 17.4%
3 Technology 16.82%
4 Consumer Discretionary 10.62%
5 Industrials 10.54%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ACHV icon
626
Achieve Life Sciences
ACHV
$145M
$354K 0.01%
69
+52
+306% +$267K
CNXN icon
627
PC Connection
CNXN
$1.66B
$354K 0.01%
14,300
BGFV icon
628
Big 5 Sporting Goods
BGFV
$32.8M
$344K 0.01%
+24,200
New +$344K
MASI icon
629
Masimo
MASI
$8B
$341K 0.01%
+8,800
New +$341K
HDNG
630
DELISTED
Hardinge Inc
HDNG
$341K 0.01%
34,642
-1,500
-4% -$14.8K
PEG icon
631
Public Service Enterprise Group
PEG
$40.5B
$330K 0.01%
8,400
+3,210
+62% +$126K
FRTX
632
DELISTED
Fresh Tracks Therapeutics, Inc. Common Stock
FRTX
$329K 0.01%
149
+8
+6% +$17.7K
ANTH
633
DELISTED
Anthera Pharmaceuticals, Inc.
ANTH
$328K 0.01%
4,750
-313
-6% -$21.6K
HALO icon
634
Halozyme
HALO
$8.76B
$327K 0.01%
+14,500
New +$327K
HALL
635
DELISTED
Hallmark Financial Services, Inc.
HALL
$327K 0.01%
2,874
-815
-22% -$92.7K
CPS icon
636
Cooper-Standard Automotive
CPS
$677M
$326K 0.01%
5,302
-8,658
-62% -$532K
CTLT
637
DELISTED
CATALENT, INC.
CTLT
$324K 0.01%
+11,060
New +$324K
KW icon
638
Kennedy-Wilson Holdings
KW
$1.21B
$323K 0.01%
+13,140
New +$323K
AIT icon
639
Applied Industrial Technologies
AIT
$10B
$322K 0.01%
8,120
SPTN icon
640
SpartanNash
SPTN
$908M
$321K 0.01%
9,870
IMN
641
DELISTED
Imation
IMN
$321K 0.01%
79,077
+63,825
+418% +$259K
PLCE icon
642
Children's Place
PLCE
$121M
$318K 0.01%
4,860
+190
+4% +$12.4K
R icon
643
Ryder
R
$7.64B
$318K 0.01%
3,640
-120
-3% -$10.5K
ITC
644
DELISTED
ITC HOLDINGS CORP
ITC
$318K 0.01%
9,880
CLGX
645
DELISTED
Corelogic, Inc.
CLGX
$316K 0.01%
+7,970
New +$316K
ENZN
646
DELISTED
ENZON PHARMACEUTICALS INC
ENZN
$315K 0.01%
262,140
-51,717
-16% -$62.1K
POR icon
647
Portland General Electric
POR
$4.69B
$313K 0.01%
9,440
-28,820
-75% -$956K
WSM icon
648
Williams-Sonoma
WSM
$24.7B
$313K 0.01%
7,600
-13,160
-63% -$542K
AVNW icon
649
Aviat Networks
AVNW
$285M
$312K 0.01%
41,325
-633
-2% -$4.78K
UNFI icon
650
United Natural Foods
UNFI
$1.75B
$311K 0.01%
4,890