MCM

Munder Capital Management Portfolio holdings

AUM $13.4B
1-Year Return 18.34%
This Quarter Return
+3.42%
1 Year Return
+18.34%
3 Year Return
5 Year Return
10 Year Return
AUM
$11.7B
AUM Growth
Cap. Flow
+$11.7B
Cap. Flow %
100%
Top 10 Hldgs %
11.73%
Holding
649
New
648
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Financials 14.55%
2 Consumer Discretionary 12.44%
3 Industrials 12.1%
4 Technology 11.96%
5 Healthcare 9.15%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
FUBC
451
DELISTED
1ST UNITED BANCORP, INC. (FL) COMMON STOCK
FUBC
$655K 0.01%
+97,437
New +$655K
PFC
452
DELISTED
Premier Financial Corp. Common Stock
PFC
$654K 0.01%
+58,000
New +$654K
HCI icon
453
HCI Group
HCI
$2.21B
$645K 0.01%
+21,011
New +$645K
MOVE
454
DELISTED
MOVE INC COM STK NEW (DE)
MOVE
$641K 0.01%
+50,000
New +$641K
IBTX
455
DELISTED
Independent Bank Group, Inc.
IBTX
$638K 0.01%
+21,000
New +$638K
RGP icon
456
Resources Connection
RGP
$167M
$626K 0.01%
+54,000
New +$626K
AIMC
457
DELISTED
Altra Industrial Motion Corp.
AIMC
$619K 0.01%
+22,626
New +$619K
MIND icon
458
MIND Technology
MIND
$75.2M
$616K 0.01%
+3,669
New +$616K
CSTE icon
459
Caesarstone
CSTE
$48.7M
$613K 0.01%
+22,515
New +$613K
EXTR icon
460
Extreme Networks
EXTR
$2.87B
$605K 0.01%
+176,000
New +$605K
VTI icon
461
Vanguard Total Stock Market ETF
VTI
$528B
$605K 0.01%
+7,315
New +$605K
CLDT
462
Chatham Lodging
CLDT
$363M
$601K 0.01%
+35,000
New +$601K
MCHB
463
Mechanics Bancorp Class A Common Stock
MCHB
$2.88B
$594K 0.01%
+27,675
New +$594K
SQI
464
DELISTED
SCIQUEST, INC. COMMON STOCK
SQI
$588K 0.01%
+23,480
New +$588K
FRGI
465
DELISTED
Fiesta Restaurant Group, Inc.
FRGI
$585K 0.01%
+17,035
New +$585K
LOGM
466
DELISTED
LogMein, Inc.
LOGM
$582K 0.01%
+23,800
New +$582K
PSEM
467
DELISTED
PERICOM SEMICONDUCTOR CP
PSEM
$577K ﹤0.01%
+80,991
New +$577K
ACHN
468
DELISTED
Achillion Pharmaceuticals, Inc.
ACHN
$574K ﹤0.01%
+70,169
New +$574K
GPX
469
DELISTED
GP Strategies Corp.
GPX
$573K ﹤0.01%
+24,074
New +$573K
ACAT
470
DELISTED
Arctic Cat Inc
ACAT
$572K ﹤0.01%
+12,724
New +$572K
BMRC icon
471
Bank of Marin Bancorp
BMRC
$400M
$567K ﹤0.01%
+28,358
New +$567K
STAG icon
472
STAG Industrial
STAG
$6.9B
$559K ﹤0.01%
+28,000
New +$559K
VNDA icon
473
Vanda Pharmaceuticals
VNDA
$272M
$551K ﹤0.01%
+68,216
New +$551K
SBRA icon
474
Sabra Healthcare REIT
SBRA
$4.56B
$548K ﹤0.01%
+21,000
New +$548K
COR icon
475
Cencora
COR
$56.7B
$547K ﹤0.01%
+9,805
New +$547K