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
RYAM icon
101
Rayonier Advanced Materials
RYAM
$373M
$201K 0.44% 14,700 +3,500 +31% +$47.9K
CCL icon
102
Carnival Corp
CCL
$43.2B
$200K 0.44% +3,100 New +$200K
LSAK icon
103
Lesaka Technologies
LSAK
$383M
$190K 0.42% +19,500 New +$190K
OMN
104
DELISTED
OMNOVA Solutions Inc.
OMN
$181K 0.4% +16,500 New +$181K
BKD icon
105
Brookdale Senior Living
BKD
$1.83B
$171K 0.38% +16,100 New +$171K
VIVO
106
DELISTED
Meridian Bioscience Inc
VIVO
$166K 0.37% 11,600 +700 +6% +$10K
AROC icon
107
Archrock
AROC
$4.35B
$161K 0.35% +12,800 New +$161K
SNCR icon
108
Synchronoss Technologies
SNCR
$69.2M
$160K 0.35% +17,200 New +$160K
RMBS icon
109
Rambus
RMBS
$7.94B
$158K 0.35% +11,800 New +$158K
CZZ
110
DELISTED
Cosan Limited
CZZ
$152K 0.33% +18,700 New +$152K
LFC
111
DELISTED
China Life Insurance Company Ltd.
LFC
$151K 0.33% +10,000 New +$151K
BKCC
112
DELISTED
BlackRock Capital Investment Corporation
BKCC
$137K 0.3% 18,300 +4,700 +35% +$35.2K
NCMI icon
113
National CineMedia
NCMI
$411M
$136K 0.3% +19,500 New +$136K
PRQR icon
114
ProQR Therapeutics
PRQR
$237M
$133K 0.29% +27,400 New +$133K
AVDL
115
Avadel Pharmaceuticals
AVDL
$1.43B
$132K 0.29% +12,600 New +$132K
TOUR
116
Tuniu
TOUR
$101M
$129K 0.28% +16,500 New +$129K
SCMP
117
DELISTED
Sucampo Pharmaceuticals, Inc.
SCMP
$127K 0.28% +10,800 New +$127K
MBT
118
DELISTED
Mobile TeleSystems Public Joint Stock Company American Depositary Shares (Each representing 2 Shares
MBT
$126K 0.28% +12,100 New +$126K
AGTC
119
DELISTED
Applied Genetic Technologies Corporation
AGTC
$113K 0.25% +28,500 New +$113K
MBI icon
120
MBIA
MBI
$402M
$111K 0.24% +12,800 New +$111K
CMCM
121
Cheetah Mobile
CMCM
$184M
$110K 0.24% +13,100 New +$110K
OCSI
122
DELISTED
Oaktree Strategic Income Corporation
OCSI
$109K 0.24% +12,400 New +$109K
OXSQ icon
123
Oxford Square Capital
OXSQ
$171M
$103K 0.23% +15,000 New +$103K
PFNX
124
DELISTED
Pfenex Inc.
PFNX
$99K 0.22% 32,900 +2,600 +9% +$7.82K
VVUS
125
DELISTED
Vivus Inc
VVUS
$92K 0.2% 92,800 +11,200 +14% +$11.1K