NCCM

Nine Chapters Capital Management Portfolio holdings

AUM $45.4M
This Quarter Return
+4.34%
1 Year Return
+14.43%
3 Year Return
5 Year Return
10 Year Return
AUM
$45.4M
AUM Growth
+$45.4M
Cap. Flow
+$34.5M
Cap. Flow %
75.93%
Top 10 Hldgs %
16.45%
Holding
184
New
128
Increased
18
Reduced
7
Closed
31

Sector Composition

1 Industrials 16.05%
2 Technology 15.82%
3 Healthcare 15.72%
4 Consumer Discretionary 9.95%
5 Financials 9.62%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HT
76
DELISTED
Hersha Hospitality Trust Priority Class A Common Shares of Beneficial Interest
HT
$265K 0.58% +14,200 New +$265K
DLTR icon
77
Dollar Tree
DLTR
$22.8B
$260K 0.57% +3,000 New +$260K
CSBK
78
DELISTED
Clifton Bancorp Inc.
CSBK
$257K 0.57% +15,400 New +$257K
LHCG
79
DELISTED
LHC Group LLC
LHCG
$255K 0.56% +3,600 New +$255K
UNFI icon
80
United Natural Foods
UNFI
$1.71B
$245K 0.54% +5,900 New +$245K
KRA
81
DELISTED
Kraton Corporation
KRA
$243K 0.54% +6,000 New +$243K
SCVL icon
82
Shoe Carnival
SCVL
$571M
$242K 0.53% +10,800 New +$242K
SRCI
83
DELISTED
SRC Energy Inc
SRCI
$242K 0.53% +25,000 New +$242K
OXLC
84
Oxford Lane Capital
OXLC
$1.81B
$241K 0.53% +23,600 New +$241K
GTY
85
Getty Realty Corp
GTY
$1.62B
$235K 0.52% +8,200 New +$235K
NSIT icon
86
Insight Enterprises
NSIT
$4.1B
$230K 0.51% 5,000 -200 -4% -$9.2K
LBRDK icon
87
Liberty Broadband Class C
LBRDK
$8.73B
$229K 0.5% +2,400 New +$229K
MERC icon
88
Mercer International
MERC
$223M
$229K 0.5% +19,300 New +$229K
VRTV
89
DELISTED
VERITIV CORPORATION
VRTV
$228K 0.5% +7,000 New +$228K
CI icon
90
Cigna
CI
$80.3B
$224K 0.49% +1,200 New +$224K
ESNT icon
91
Essent Group
ESNT
$6.18B
$219K 0.48% +5,400 New +$219K
PZZA icon
92
Papa John's
PZZA
$1.6B
$219K 0.48% +3,000 New +$219K
SPR icon
93
Spirit AeroSystems
SPR
$4.88B
$218K 0.48% +2,800 New +$218K
SRI icon
94
Stoneridge
SRI
$232M
$216K 0.48% +10,900 New +$216K
THO icon
95
Thor Industries
THO
$5.79B
$214K 0.47% +1,700 New +$214K
HEES
96
DELISTED
H&E Equipment Services
HEES
$213K 0.47% +7,300 New +$213K
GTS
97
DELISTED
Triple-S Management Corporation
GTS
$211K 0.46% +8,900 New +$211K
LNG icon
98
Cheniere Energy
LNG
$53.1B
$207K 0.46% +4,600 New +$207K
CUK icon
99
Carnival PLC
CUK
$38.2B
$206K 0.45% +3,200 New +$206K
OSIS icon
100
OSI Systems
OSIS
$3.87B
$201K 0.44% +2,200 New +$201K