Jacobs Levy Equity Management

Jacobs Levy Equity Management Portfolio holdings

AUM $25.5B
1-Year Return 20.81%
This Quarter Return
+5.9%
1 Year Return
+20.81%
3 Year Return
+97.14%
5 Year Return
+210.43%
10 Year Return
+444.59%
AUM
$5.84B
AUM Growth
-$149M
Cap. Flow
-$458M
Cap. Flow %
-7.85%
Top 10 Hldgs %
14.34%
Holding
1,022
New
208
Increased
224
Reduced
348
Closed
215

Top Sells

1
HD icon
Home Depot
HD
$42.4M
2
BMY icon
Bristol-Myers Squibb
BMY
$38.7M
3
INTC icon
Intel
INTC
$35.8M
4
DE icon
Deere & Co
DE
$34.7M
5
V icon
Visa
V
$33.1M

Sector Composition

1 Technology 19.43%
2 Healthcare 15.23%
3 Financials 14%
4 Industrials 10.63%
5 Consumer Discretionary 10.07%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
DRIV
926
DELISTED
DIGITAL RIVER INC.
DRIV
-275,010
Closed -$3.99M
MFI
927
DELISTED
MICROFINANCIAL INC
MFI
-17,821
Closed -$144K
CBST
928
DELISTED
CUBIST PHARMACEUTICALS INC
CBST
-54,080
Closed -$3.59M
SMA
929
DELISTED
SYMMETRY MEDICAL INC
SMA
-54,456
Closed -$549K
LPDX
930
DELISTED
LIPOSCIENCE INC COM
LPDX
-30,179
Closed -$156K
EDMC
931
DELISTED
EDUCATION MGMT CORP NEW COM STK (PA)
EDMC
-42,149
Closed -$46K
DISCA
932
DELISTED
Discovery, Inc. Series A Common Stock
DISCA
-91,990
Closed -$3.48M
AWH
933
DELISTED
Allied World Assurance Co Hld Lt
AWH
-55,700
Closed -$2.05M
IRC
934
DELISTED
INLAND REAL ESTATE CORP
IRC
-11,800
Closed -$117K
BBOX
935
DELISTED
Black Box Corp
BBOX
-15,110
Closed -$352K
JMBA
936
DELISTED
Jamba, Inc.
JMBA
-16,000
Closed -$228K
CYS
937
DELISTED
CYS Investments Inc.
CYS
-368,900
Closed -$3.04M
WR
938
DELISTED
Westar Energy Inc
WR
-10,300
Closed -$351K
WRES
939
DELISTED
WARREN RESOURCES INC
WRES
-11,900
Closed -$63K
PQUE
940
DELISTED
PETROQUEST ENERGY INC (DE)
PQUE
-43,100
Closed -$242K
CB
941
DELISTED
CHUBB CORPORATION
CB
-2,280
Closed -$208K
FGL
942
DELISTED
Fidelity & Guaranty Life
FGL
-23,501
Closed -$502K
DNY
943
DELISTED
DONNELLEY R R & SONS CO
DNY
-59,700
Closed -$983K
CRIS icon
944
Curis
CRIS
$21.5M
-198
Closed -$28K
CRL icon
945
Charles River Laboratories
CRL
$8.07B
-6,000
Closed -$358K
AHT
946
Ashford Hospitality Trust
AHT
$37.5M
-43
Closed -$406K
ALGT icon
947
Allegiant Air
ALGT
$1.22B
-8,068
Closed -$998K
ALL icon
948
Allstate
ALL
$53.3B
-66,300
Closed -$4.07M
ALT icon
949
Altimmune
ALT
$322M
-384
Closed -$205K
AMED
950
DELISTED
Amedisys
AMED
-30,070
Closed -$607K