Mercer Global Advisors

Mercer Global Advisors Portfolio holdings

AUM $44.5B
1-Year Return 12.22%
This Quarter Return
+2.81%
1 Year Return
+12.22%
3 Year Return
+48.64%
5 Year Return
+80.05%
10 Year Return
AUM
$3.77B
AUM Growth
+$992M
Cap. Flow
+$922M
Cap. Flow %
24.44%
Top 10 Hldgs %
22.16%
Holding
1,207
New
139
Increased
596
Reduced
369
Closed
58

Sector Composition

1 Technology 7.24%
2 Energy 5.84%
3 Financials 5.59%
4 Healthcare 4.8%
5 Industrials 4.55%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HACK icon
1001
Amplify Cybersecurity ETF
HACK
$2.29B
$220K 0.01%
+5,527
New +$220K
EXR icon
1002
Extra Space Storage
EXR
$31.3B
$219K 0.01%
+2,062
New +$219K
SWN
1003
DELISTED
Southwestern Energy Company
SWN
$219K 0.01%
69,175
-2,998
-4% -$9.49K
MTT
1004
DELISTED
Western Asset Municipal Defined Opportunity Trust Inc.
MTT
$219K 0.01%
+10,000
New +$219K
GCI
1005
DELISTED
Gannett Co., Inc
GCI
$219K 0.01%
26,779
+6,167
+30% +$50.4K
CWEN icon
1006
Clearway Energy Class C
CWEN
$3.38B
$218K 0.01%
12,956
+157
+1% +$2.64K
PFGC icon
1007
Performance Food Group
PFGC
$16.5B
$218K 0.01%
5,453
+124
+2% +$4.96K
MPLX icon
1008
MPLX
MPLX
$51.5B
$217K 0.01%
+6,743
New +$217K
ANDE icon
1009
Andersons Inc
ANDE
$1.42B
$216K 0.01%
7,933
-1,462
-16% -$39.8K
UVV icon
1010
Universal Corp
UVV
$1.38B
$216K 0.01%
+3,556
New +$216K
TUP
1011
DELISTED
Tupperware Brands Corporation
TUP
$216K 0.01%
+11,342
New +$216K
WMW
1012
DELISTED
ELEMENTS ETN MSTR Wide Moat FC TR
WMW
$216K 0.01%
6,750
DPZ icon
1013
Domino's
DPZ
$15.7B
$215K 0.01%
+773
New +$215K
MSM icon
1014
MSC Industrial Direct
MSM
$5.14B
$215K 0.01%
2,892
+151
+6% +$11.2K
RMD icon
1015
ResMed
RMD
$40.6B
$215K 0.01%
1,758
-187
-10% -$22.9K
FLG
1016
Flagstar Financial, Inc.
FLG
$5.39B
$215K 0.01%
7,175
-641
-8% -$19.2K
ROOF
1017
DELISTED
NYLI CBRE NextGen Real Estate ETF
ROOF
$215K 0.01%
8,661
MFL
1018
DELISTED
BLACKROCK MUNIHOLDINGS INVESTMENT QUALITY FUND
MFL
$215K 0.01%
+16,144
New +$215K
AROC icon
1019
Archrock
AROC
$4.44B
$214K 0.01%
20,217
-1,819
-8% -$19.3K
IDXX icon
1020
Idexx Laboratories
IDXX
$51.4B
$214K 0.01%
+776
New +$214K
TEN
1021
Tsakos Energy Navigation Ltd.
TEN
$669M
$214K 0.01%
+13,000
New +$214K
ISCA
1022
DELISTED
International Speedway Corp
ISCA
$214K 0.01%
4,757
+156
+3% +$7.02K
HBM icon
1023
Hudbay
HBM
$5.03B
$212K 0.01%
+39,200
New +$212K
MVT icon
1024
BlackRock MuniVest Fund II
MVT
$218M
$212K 0.01%
+14,000
New +$212K
CHK
1025
DELISTED
Chesapeake Energy Corporation
CHK
$212K 0.01%
544
-8
-1% -$3.12K