Nomura Asset Management

Nomura Asset Management Portfolio holdings

AUM $36.5B
1-Year Return 24.64%
This Quarter Return
+0.42%
1 Year Return
+24.64%
3 Year Return
+107.53%
5 Year Return
+178.5%
10 Year Return
+465.21%
AUM
$5.61B
AUM Growth
-$113M
Cap. Flow
-$39.8M
Cap. Flow %
-0.71%
Top 10 Hldgs %
15.24%
Holding
922
New
39
Increased
424
Reduced
339
Closed
33

Sector Composition

1 Energy 19.15%
2 Healthcare 13%
3 Technology 11.81%
4 Financials 11.57%
5 Consumer Staples 7.5%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TFM
776
DELISTED
THE FRESH MARKET, INC COM STK
TFM
$610K 0.01%
+15,000
New +$610K
ALB icon
777
Albemarle
ALB
$9.6B
$602K 0.01%
11,396
+2,886
+34% +$152K
DBA icon
778
Invesco DB Agriculture Fund
DBA
$804M
$602K 0.01%
27,200
-21,900
-45% -$485K
EC icon
779
Ecopetrol
EC
$18.7B
$595K 0.01%
39,100
+1,200
+3% +$18.3K
JD icon
780
JD.com
JD
$44.6B
$588K 0.01%
+20,000
New +$588K
PBCT
781
DELISTED
People's United Financial Inc
PBCT
$587K 0.01%
38,600
-2,300
-6% -$35K
HCBK
782
DELISTED
HUDSON CITY BANCORP INC
HCBK
$587K 0.01%
56,000
-5,200
-8% -$54.5K
FWONA icon
783
Liberty Media Series A
FWONA
$22.6B
$579K 0.01%
22,322
+2,142
+11% +$55.6K
NBIS
784
Nebius Group N.V. Class A Ordinary Shares
NBIS
$15.6B
$577K 0.01%
38,060
+7,420
+24% +$112K
AGCO icon
785
AGCO
AGCO
$8.28B
$574K 0.01%
12,050
-750
-6% -$35.7K
WP
786
DELISTED
Worldpay, Inc.
WP
$573K 0.01%
15,190
+590
+4% +$22.3K
HT
787
DELISTED
Hersha Hospitality Trust Priority Class A Common Shares of Beneficial Interest
HT
$560K 0.01%
21,648
+2,473
+13% +$64K
SNI
788
DELISTED
Scripps Networks Interactive, Inc Common Class A
SNI
$559K 0.01%
8,160
-280
-3% -$19.2K
AVY icon
789
Avery Dennison
AVY
$13.1B
$556K 0.01%
10,510
-2,130
-17% -$113K
SAVE
790
DELISTED
Spirit Airlines, Inc.
SAVE
$542K 0.01%
7,000
-3,000
-30% -$232K
FCH
791
DELISTED
Felcor Lodging Trust
FCH
$535K 0.01%
46,570
+3,800
+9% +$43.7K
CVC
792
DELISTED
CABLEVISION SYS CP NY GRP CL-A
CVC
$533K 0.01%
29,100
-670
-2% -$12.3K
NBR icon
793
Nabors Industries
NBR
$560M
$528K 0.01%
774
+29
+4% +$19.8K
NE
794
DELISTED
Noble Corporation
NE
$524K 0.01%
36,700
+3,960
+12% +$56.5K
INN
795
Summit Hotel Properties
INN
$614M
$517K 0.01%
36,780
+2,700
+8% +$38K
URBN icon
796
Urban Outfitters
URBN
$6.35B
$517K 0.01%
11,320
AVP
797
DELISTED
Avon Products, Inc.
AVP
$516K 0.01%
64,600
+4,600
+8% +$36.7K
LOCO icon
798
El Pollo Loco
LOCO
$314M
$512K 0.01%
20,000
+5,000
+33% +$128K
CBI
799
DELISTED
Chicago Bridge & Iron Nv
CBI
$511K 0.01%
10,380
+680
+7% +$33.5K
EV
800
DELISTED
Eaton Vance Corp.
EV
$509K 0.01%
12,230