Janney Montgomery Scott

Janney Montgomery Scott Portfolio holdings

AUM $38.3B
1-Year Return 17.21%
This Quarter Return
+5.28%
1 Year Return
+17.21%
3 Year Return
+61.5%
5 Year Return
+102%
10 Year Return
+211.19%
AUM
$9.63B
AUM Growth
+$853M
Cap. Flow
+$459M
Cap. Flow %
4.76%
Top 10 Hldgs %
13.1%
Holding
2,017
New
196
Increased
1,059
Reduced
606
Closed
106

Sector Composition

1 Financials 9.08%
2 Technology 8.05%
3 Healthcare 8.02%
4 Industrials 6.78%
5 Communication Services 5.29%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CTB
1201
DELISTED
Cooper Tire & Rubber Co.
CTB
$611K 0.01%
+17,288
New +$611K
WGL
1202
DELISTED
Wgl Holdings
WGL
$611K 0.01%
7,118
+980
+16% +$84.1K
ERIE icon
1203
Erie Indemnity
ERIE
$17.7B
$610K 0.01%
5,004
+570
+13% +$69.5K
CNO icon
1204
CNO Financial Group
CNO
$3.83B
$607K 0.01%
+24,590
New +$607K
BOH icon
1205
Bank of Hawaii
BOH
$2.74B
$605K 0.01%
7,060
CC icon
1206
Chemours
CC
$2.51B
$605K 0.01%
12,079
+604
+5% +$30.3K
IEO icon
1207
iShares US Oil & Gas Exploration & Production ETF
IEO
$474M
$605K 0.01%
+9,317
New +$605K
IBDP
1208
DELISTED
iShares iBonds Dec 2024 Term Corporate ETF
IBDP
$604K 0.01%
24,116
-52
-0.2% -$1.3K
UHS icon
1209
Universal Health Services
UHS
$12.1B
$600K 0.01%
+5,293
New +$600K
FIW icon
1210
First Trust Water ETF
FIW
$1.94B
$599K 0.01%
12,306
+1,153
+10% +$56.1K
DORM icon
1211
Dorman Products
DORM
$5B
$598K 0.01%
9,781
+261
+3% +$16K
MRT
1212
DELISTED
MedEquities Realty Trust, Inc.
MRT
$597K 0.01%
53,241
+150
+0.3% +$1.68K
AMD icon
1213
Advanced Micro Devices
AMD
$253B
$596K 0.01%
57,935
-85,978
-60% -$884K
NMY
1214
DELISTED
Nuveen Maryland Quality Municipal Income Fund
NMY
$594K 0.01%
47,252
+1,435
+3% +$18K
MAN icon
1215
ManpowerGroup
MAN
$1.83B
$594K 0.01%
+4,714
New +$594K
MTD icon
1216
Mettler-Toledo International
MTD
$26.4B
$593K 0.01%
957
+57
+6% +$35.3K
VER
1217
DELISTED
VEREIT, Inc.
VER
$593K 0.01%
15,221
+4,205
+38% +$164K
AMRC icon
1218
Ameresco
AMRC
$1.44B
$590K 0.01%
+68,548
New +$590K
CTAS icon
1219
Cintas
CTAS
$82.4B
$590K 0.01%
15,156
-4,092
-21% -$159K
ALLE icon
1220
Allegion
ALLE
$15.2B
$589K 0.01%
7,409
+1,164
+19% +$92.5K
FUNC icon
1221
First United
FUNC
$239M
$589K 0.01%
33,873
KBE icon
1222
SPDR S&P Bank ETF
KBE
$1.56B
$589K 0.01%
12,433
+266
+2% +$12.6K
WEA
1223
Western Asset Premier Bond Fund
WEA
$133M
$589K 0.01%
42,624
+3,521
+9% +$48.7K
STMP
1224
DELISTED
Stamps.com, Inc.
STMP
$589K 0.01%
3,134
-484
-13% -$91K
CCEP icon
1225
Coca-Cola Europacific Partners
CCEP
$40.9B
$588K 0.01%
14,751
-3,566
-19% -$142K