MAM

Myriad Asset Management Portfolio holdings

AUM $686M
This Quarter Return
+1.77%
1 Year Return
+11.34%
3 Year Return
+146.48%
5 Year Return
+240.77%
10 Year Return
AUM
$686M
AUM Growth
+$686M
Cap. Flow
-$308M
Cap. Flow %
-44.98%
Top 10 Hldgs %
77.36%
Holding
164
New
13
Increased
6
Reduced
17
Closed
70

Top Buys

1
COP icon
ConocoPhillips
COP
$21.6M
2
PDD icon
Pinduoduo
PDD
$12M
3
BP icon
BP
BP
$11M
4
SHEL icon
Shell
SHEL
$10.7M
5
LI icon
Li Auto
LI
$7.74M

Sector Composition

1 Energy 6.61%
2 Materials 4.27%
3 Financials 4.26%
4 Consumer Discretionary 3.78%
5 Healthcare 3.23%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
COP icon
1
ConocoPhillips
COP
$124B
$21.6M 2.99%
+215,740
New +$21.6M
FCX icon
2
Freeport-McMoran
FCX
$63.7B
$15M 2.08%
301,900
-666,935
-69% -$33.2M
PDD icon
3
Pinduoduo
PDD
$171B
$12M 1.67%
+300,000
New +$12M
BP icon
4
BP
BP
$90.8B
$11M 1.52%
+374,100
New +$11M
SHEL icon
5
Shell
SHEL
$215B
$10.7M 1.48%
+194,100
New +$10.7M
AA icon
6
Alcoa
AA
$8.33B
$7.93M 1.1%
88,100
-252,706
-74% -$22.8M
LI icon
7
Li Auto
LI
$23.7B
$7.74M 1.07%
+300,000
New +$7.74M
NGC
8
DELISTED
Northern Genesis Acquisition Corp. III
NGC
$4.88M 0.68%
500,000
VRTX icon
9
Vertex Pharmaceuticals
VRTX
$100B
$3.68M 0.51%
14,100
+3,700
+36% +$966K
FVIV
10
DELISTED
Fortress Value Acquisition Corp. IV
FVIV
$3.43M 0.48%
350,000
NTR icon
11
Nutrien
NTR
$28B
$3.36M 0.47%
+32,300
New +$3.36M
INFY icon
12
Infosys
INFY
$69.7B
$3.13M 0.43%
125,800
-12,300
-9% -$306K
LLY icon
13
Eli Lilly
LLY
$657B
$3.12M 0.43%
10,900
+3,600
+49% +$1.03M
PFE icon
14
Pfizer
PFE
$141B
$3.08M 0.43%
59,500
+9,500
+19% +$492K
HALO icon
15
Halozyme
HALO
$8.56B
$3.07M 0.43%
77,000
TECK icon
16
Teck Resources
TECK
$16.7B
$2.99M 0.41%
73,900
-46,111
-38% -$1.86M
CHAA
17
DELISTED
Catcha Investment Corp
CHAA
$2.94M 0.41%
300,000
CVII
18
DELISTED
Churchill Capital Corp VII Class A Common Stock
CVII
$2.84M 0.39%
289,823
-429,458
-60% -$4.2M
BHVN
19
DELISTED
Biohaven Pharmaceutical Holding Company Ltd.
BHVN
$2.62M 0.36%
22,127
+7,727
+54% +$916K
KAHC
20
DELISTED
KKR Acquisition Holdings I Corp.
KAHC
$2.46M 0.34%
250,000
-250,000
-50% -$2.46M
JAZZ icon
21
Jazz Pharmaceuticals
JAZZ
$7.75B
$2.4M 0.33%
15,400
+8,900
+137% +$1.39M
MVLA
22
DELISTED
Movella Holdings Inc. Common Stock
MVLA
$2.33M 0.32%
238,200
PSX icon
23
Phillips 66
PSX
$54B
$2.13M 0.29%
+24,600
New +$2.13M
JCI icon
24
Johnson Controls International
JCI
$69.9B
$2.07M 0.29%
+31,500
New +$2.07M
WRK
25
DELISTED
WestRock Company
WRK
$2M 0.28%
+42,600
New +$2M