NTCOC

Northern Trust Company of Connecticut Portfolio holdings

AUM $16B
This Quarter Return
+10.22%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$16B
AUM Growth
+$493M
Cap. Flow
-$897M
Cap. Flow %
-5.62%
Top 10 Hldgs %
8.45%
Holding
2,074
New
92
Increased
459
Reduced
1,121
Closed
66

Sector Composition

1 Technology 14.54%
2 Financials 14.44%
3 Industrials 11.98%
4 Consumer Discretionary 11.82%
5 Healthcare 11.24%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AEGR
1176
DELISTED
Aegerion Pharmaceuticals, Inc.
AEGR
$1.62M 0.01%
22,791
+5,905
+35% +$419K
SFUN
1177
DELISTED
Fang Holdings Limited American Depositary Shares (each representing ten Class A Ordinary Shares)
SFUN
$1.61M 0.01%
1,958
+1,528
+355% +$1.26M
CFNL
1178
DELISTED
Cardinal Financial Corp
CFNL
$1.6M 0.01%
89,100
+37,000
+71% +$666K
NBR icon
1179
Nabors Industries
NBR
$626M
$1.6M 0.01%
1,885
-494
-21% -$420K
EVHC
1180
DELISTED
Envision Healthcare Holdings Inc
EVHC
$1.6M 0.01%
15,001
+1,073
+8% +$114K
SUI icon
1181
Sun Communities
SUI
$16.3B
$1.59M 0.01%
37,247
-1,480
-4% -$63.1K
CHUY
1182
DELISTED
Chuy's Holdings, Inc. Common Stock
CHUY
$1.59M 0.01%
43,990
+4,365
+11% +$157K
TVTY
1183
DELISTED
Tivity Health, Inc. Common Stock
TVTY
$1.57M 0.01%
102,224
PF
1184
DELISTED
Pinnacle Foods, Inc.
PF
$1.57M 0.01%
57,100
-1,900
-3% -$52.2K
OMG
1185
DELISTED
OM GROUP INC.
OMG
$1.56M 0.01%
42,964
SBH icon
1186
Sally Beauty Holdings
SBH
$1.5B
$1.56M 0.01%
51,631
-6,589
-11% -$199K
NATL
1187
DELISTED
National Interstate Corporation
NATL
$1.56M 0.01%
67,702
-11,355
-14% -$261K
Y
1188
DELISTED
Alleghany Corporation
Y
$1.56M 0.01%
3,889
+244
+7% +$97.6K
PACW
1189
DELISTED
PacWest Bancorp
PACW
$1.55M 0.01%
36,818
+30,098
+448% +$1.27M
RBCN
1190
DELISTED
Rubicon Technology, Inc.
RBCN
$1.55M 0.01%
15,608
MATW icon
1191
Matthews International
MATW
$766M
$1.54M 0.01%
36,199
CMC icon
1192
Commercial Metals
CMC
$6.58B
$1.54M 0.01%
75,610
-4,770
-6% -$97K
PLXS icon
1193
Plexus
PLXS
$3.71B
$1.54M 0.01%
35,498
-2,045
-5% -$88.5K
TBI
1194
Trueblue
TBI
$175M
$1.53M 0.01%
59,197
-4,279
-7% -$110K
CHSP
1195
DELISTED
Chesapeake Lodging Trust
CHSP
$1.52M 0.01%
60,220
+48,520
+415% +$1.23M
FNF icon
1196
Fidelity National Financial
FNF
$16.4B
$1.52M 0.01%
82,169
-7,059
-8% -$131K
VSI
1197
DELISTED
Vitamin Shoppe Inc.
VSI
$1.52M 0.01%
29,240
+5,500
+23% +$286K
PKE icon
1198
Park Aerospace
PKE
$378M
$1.52M 0.01%
52,838
-5,968
-10% -$171K
NUVA
1199
DELISTED
NuVasive, Inc.
NUVA
$1.52M 0.01%
46,940
+6,610
+16% +$214K
SWI
1200
DELISTED
SOLARWINDS INC COM STK (DE)
SWI
$1.5M 0.01%
39,730
-202,924
-84% -$7.68M