NAM

NorthCoast Asset Management Portfolio holdings

AUM $2.74B
1-Year Return 25.44%
This Quarter Return
-0.04%
1 Year Return
+25.44%
3 Year Return
+34.42%
5 Year Return
+85.93%
10 Year Return
AUM
$2.74B
AUM Growth
-$56M
Cap. Flow
-$27.4M
Cap. Flow %
-1%
Top 10 Hldgs %
27.84%
Holding
467
New
48
Increased
157
Reduced
148
Closed
41

Sector Composition

1 Technology 15.37%
2 Healthcare 9.48%
3 Financials 8.74%
4 Consumer Discretionary 7%
5 Communication Services 4.94%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ECL icon
326
Ecolab
ECL
$77.6B
$619K 0.02%
2,968
-229
-7% -$47.8K
LRCX icon
327
Lam Research
LRCX
$130B
$605K 0.02%
+10,630
New +$605K
VLY icon
328
Valley National Bancorp
VLY
$6.01B
$592K 0.02%
44,484
+362
+0.8% +$4.82K
ORI icon
329
Old Republic International
ORI
$10.1B
$578K 0.02%
25,008
+10,000
+67% +$231K
AME icon
330
Ametek
AME
$43.3B
$573K 0.02%
4,624
TXG icon
331
10x Genomics
TXG
$1.74B
$568K 0.02%
3,900
VRTX icon
332
Vertex Pharmaceuticals
VRTX
$102B
$565K 0.02%
3,113
-13,567
-81% -$2.46M
NTRA icon
333
Natera
NTRA
$23.1B
$559K 0.02%
+5,013
New +$559K
EWP icon
334
iShares MSCI Spain ETF
EWP
$1.36B
$556K 0.02%
+20,597
New +$556K
RJF icon
335
Raymond James Financial
RJF
$33B
$554K 0.02%
6,000
MCO icon
336
Moody's
MCO
$89.5B
$549K 0.02%
1,545
+1
+0.1% +$355
VRSK icon
337
Verisk Analytics
VRSK
$37.8B
$546K 0.02%
2,725
CTVA icon
338
Corteva
CTVA
$49.1B
$544K 0.02%
12,928
-52
-0.4% -$2.19K
REGN icon
339
Regeneron Pharmaceuticals
REGN
$60.8B
$543K 0.02%
898
+5
+0.6% +$3.02K
FMC icon
340
FMC
FMC
$4.72B
$540K 0.02%
5,902
TER icon
341
Teradyne
TER
$19.1B
$532K 0.02%
4,869
NTAP icon
342
NetApp
NTAP
$23.7B
$531K 0.02%
5,914
+24
+0.4% +$2.16K
REM icon
343
iShares Mortgage Real Estate ETF
REM
$618M
$522K 0.02%
14,408
SLB icon
344
Schlumberger
SLB
$53.4B
$511K 0.02%
17,249
-43
-0.2% -$1.27K
IEFA icon
345
iShares Core MSCI EAFE ETF
IEFA
$150B
$502K 0.02%
6,757
+327
+5% +$24.3K
OKE icon
346
Oneok
OKE
$45.7B
$501K 0.02%
8,631
+674
+8% +$39.1K
IWB icon
347
iShares Russell 1000 ETF
IWB
$43.4B
$493K 0.02%
+2,037
New +$493K
AXON icon
348
Axon Enterprise
AXON
$57.2B
$490K 0.02%
2,797
-74,143
-96% -$13M
DRE
349
DELISTED
Duke Realty Corp.
DRE
$474K 0.02%
9,907
FI icon
350
Fiserv
FI
$73.4B
$467K 0.02%
4,303
-113,706
-96% -$12.3M