Janney Montgomery Scott

Janney Montgomery Scott Portfolio holdings

AUM $38.3B
1-Year Return 17.21%
This Quarter Return
-7.15%
1 Year Return
+17.21%
3 Year Return
+61.5%
5 Year Return
+102%
10 Year Return
+211.19%
AUM
$3.54B
AUM Growth
-$1.23B
Cap. Flow
-$976M
Cap. Flow %
-27.55%
Top 10 Hldgs %
12.69%
Holding
2,201
New
185
Increased
626
Reduced
516
Closed
815

Sector Composition

1 Healthcare 10.77%
2 Financials 9.68%
3 Technology 8.6%
4 Industrials 7.5%
5 Consumer Staples 6.83%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
FTR
726
DELISTED
Frontier Communications Corp.
FTR
$619K 0.02%
8,689
+1,258
+17% +$89.6K
JNPR
727
DELISTED
Juniper Networks
JNPR
$618K 0.02%
+24,048
New +$618K
VMW
728
DELISTED
VMware, Inc
VMW
$618K 0.02%
7,847
+203
+3% +$16K
GPRO icon
729
GoPro
GPRO
$272M
$617K 0.02%
19,770
+3,180
+19% +$99.2K
FLOT icon
730
iShares Floating Rate Bond ETF
FLOT
$9.12B
$615K 0.02%
12,195
+3,951
+48% +$199K
FSD
731
DELISTED
FIRST TRUST HIGH INCOME LONG/SHORT FUND
FSD
$615K 0.02%
43,665
+10,554
+32% +$149K
AZUR
732
DELISTED
AZURE MIDSTREAM PARTNERS LP COM UNT LTD PARTNER INT
AZUR
$613K 0.02%
103,605
+36,133
+54% +$214K
HRL icon
733
Hormel Foods
HRL
$14B
$612K 0.02%
19,328
+3,554
+23% +$113K
SONY icon
734
Sony
SONY
$171B
$611K 0.02%
124,690
+4,220
+4% +$20.7K
WES
735
DELISTED
Western Gas Partners Lp
WES
$611K 0.02%
13,060
-590
-4% -$27.6K
BOH icon
736
Bank of Hawaii
BOH
$2.71B
$607K 0.02%
9,554
+2,143
+29% +$136K
BCS.PRC
737
DELISTED
BARCLAYS BK PLC SPONSORED ADS SER 4 PREF SHS (UK)
BCS.PRC
$607K 0.02%
23,500
+4,600
+24% +$119K
DGICA icon
738
Donegal Group Class A
DGICA
$704M
$606K 0.02%
43,068
-600
-1% -$8.44K
SPHD icon
739
Invesco S&P 500 High Dividend Low Volatility ETF
SPHD
$3.15B
$606K 0.02%
19,250
+2,698
+16% +$84.9K
HCSG icon
740
Healthcare Services Group
HCSG
$1.15B
$602K 0.02%
17,854
+10,323
+137% +$348K
N
741
DELISTED
Netsuite Inc
N
$602K 0.02%
7,180
-2,194
-23% -$184K
ICPT
742
DELISTED
Intercept Pharmaceuticals, Inc.
ICPT
$601K 0.02%
3,621
+391
+12% +$64.9K
SBNY
743
DELISTED
Signature Bank
SBNY
$598K 0.02%
4,344
+2,944
+210% +$405K
EFX icon
744
Equifax
EFX
$31.2B
$596K 0.02%
6,132
+3,535
+136% +$344K
VIAB
745
DELISTED
Viacom Inc. Class B
VIAB
$596K 0.02%
13,808
+1,818
+15% +$78.5K
AEO icon
746
American Eagle Outfitters
AEO
$3.17B
$595K 0.02%
38,057
+1,050
+3% +$16.4K
LBTYA icon
747
Liberty Global Class A
LBTYA
$3.99B
$594K 0.02%
+15,865
New +$594K
XEL icon
748
Xcel Energy
XEL
$42.4B
$594K 0.02%
16,789
-2,718
-14% -$96.2K
MXWL
749
DELISTED
Maxwell Technologies Inc
MXWL
$594K 0.02%
109,650
+5,450
+5% +$29.5K
ETY icon
750
Eaton Vance Tax-Managed Diversified Equity Income Fund
ETY
$2.52B
$593K 0.02%
57,671
-15,544
-21% -$160K