M&T Bank

M&T Bank Portfolio holdings

AUM $29.1B
1-Year Return 16.72%
This Quarter Return
+21.53%
1 Year Return
+16.72%
3 Year Return
+64.24%
5 Year Return
+110.22%
10 Year Return
+221.4%
AUM
$18.7B
AUM Growth
+$1.75B
Cap. Flow
-$1.4B
Cap. Flow %
-7.5%
Top 10 Hldgs %
27.21%
Holding
1,650
New
146
Increased
549
Reduced
738
Closed
143

Sector Composition

1 Technology 12.09%
2 Financials 9.93%
3 Healthcare 8.87%
4 Consumer Discretionary 5.33%
5 Consumer Staples 5.13%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HDSN icon
1476
Hudson Technologies
HDSN
$445M
$65K ﹤0.01%
63,894
RNET
1477
DELISTED
RigNet, Inc.
RNET
$64K ﹤0.01%
29,660
BCS icon
1478
Barclays
BCS
$69.1B
$61K ﹤0.01%
+10,952
New +$61K
IVR icon
1479
Invesco Mortgage Capital
IVR
$529M
$61K ﹤0.01%
1,622
+141
+10% +$5.3K
MARK
1480
DELISTED
Remark Holdings, Inc.
MARK
$59K ﹤0.01%
2,500
BGY icon
1481
BlackRock Enhanced International Dividend Trust
BGY
$534M
$54K ﹤0.01%
10,543
IMGN
1482
DELISTED
Immunogen Inc
IMGN
$52K ﹤0.01%
+11,199
New +$52K
NMRK icon
1483
Newmark Group
NMRK
$3.28B
$50K ﹤0.01%
10,149
-17,468
-63% -$86.1K
NOK icon
1484
Nokia
NOK
$24.5B
$49K ﹤0.01%
11,254
-6,680
-37% -$29.1K
BGC icon
1485
BGC Group
BGC
$4.71B
$48K ﹤0.01%
17,407
-42,587
-71% -$117K
PLYA
1486
DELISTED
Playa Hotels & Resorts
PLYA
$45K ﹤0.01%
+12,300
New +$45K
NWG icon
1487
NatWest
NWG
$55.4B
$40K ﹤0.01%
12,011
+1,343
+13% +$4.47K
PTEN icon
1488
Patterson-UTI
PTEN
$2.18B
$39K ﹤0.01%
11,216
-10,975
-49% -$38.2K
SWN
1489
DELISTED
Southwestern Energy Company
SWN
$29K ﹤0.01%
11,005
-2,269
-17% -$5.98K
PACK.WS
1490
DELISTED
One Madison Corporation Warrants, each whole warrant is exercisable for one Class A Common Stock at
PACK.WS
$20K ﹤0.01%
13,701
HTZ
1491
DELISTED
Hertz Global Holdings, Inc.
HTZ
$18K ﹤0.01%
+12,840
New +$18K
AIG.WS
1492
DELISTED
American International Group, Inc.
AIG.WS
$15K ﹤0.01%
10,453
-1,588
-13% -$2.28K
CVEO icon
1493
Civeo
CVEO
$294M
$12K ﹤0.01%
1,625
-183
-10% -$1.35K
ELGX
1494
DELISTED
Endologix Inc
ELGX
$11K ﹤0.01%
14,068
NCSM icon
1495
NCS Multistage Holdings
NCSM
$111M
$10K ﹤0.01%
852
TMUSR
1496
DELISTED
T-Mobile US, Inc. Subscription Rights Expiring 7/27/2020
TMUSR
$5K ﹤0.01%
+33,669
New +$5K
WBC
1497
DELISTED
WABCO HOLDINGS INC.
WBC
-6,009
Closed -$811K
AGN
1498
DELISTED
Allergan plc
AGN
-20,124
Closed -$3.56M
JMF
1499
DELISTED
NUVEEN ENERGY MLP TOTAL RETURN FUND
JMF
-13,251
Closed -$19K
RTN
1500
DELISTED
Raytheon Company
RTN
-56,094
Closed -$7.36M