OMCS

Old Mutual Customised Solutions Portfolio holdings

AUM $1B
1-Year Return 15.88%
This Quarter Return
+3%
1 Year Return
+15.88%
3 Year Return
+49.71%
5 Year Return
+105.46%
10 Year Return
AUM
$1B
AUM Growth
+$25.2M
Cap. Flow
+$11.6M
Cap. Flow %
1.15%
Top 10 Hldgs %
16.72%
Holding
774
New
35
Increased
115
Reduced
106
Closed
20

Top Buys

1
V icon
Visa
V
$9.35M
2
ABBV icon
AbbVie
ABBV
$5.61M
3
ADBE icon
Adobe
ADBE
$4.8M
4
TJX icon
TJX Companies
TJX
$2.21M
5
COF icon
Capital One
COF
$1.71M

Sector Composition

1 Financials 18.44%
2 Technology 16.84%
3 Healthcare 12.47%
4 Consumer Discretionary 9.66%
5 Communication Services 9.18%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ALLY icon
226
Ally Financial
ALLY
$12.7B
$1.12M 0.11%
42,634
FDX icon
227
FedEx
FDX
$53.7B
$1.11M 0.11%
4,900
CVE icon
228
Cenovus Energy
CVE
$28.7B
$1.1M 0.11%
105,960
DTE icon
229
DTE Energy
DTE
$28.4B
$1.1M 0.11%
12,455
+8,225
+194% +$725K
WRK
230
DELISTED
WestRock Company
WRK
$1.1M 0.11%
19,216
+100
+0.5% +$5.7K
KR icon
231
Kroger
KR
$44.8B
$1.09M 0.11%
38,300
EOG icon
232
EOG Resources
EOG
$64.4B
$1.09M 0.11%
8,740
-22,700
-72% -$2.83M
CHTR icon
233
Charter Communications
CHTR
$35.7B
$1.09M 0.11%
3,700
-8,270
-69% -$2.43M
ADM icon
234
Archer Daniels Midland
ADM
$30.2B
$1.08M 0.11%
23,628
CLX icon
235
Clorox
CLX
$15.5B
$1.08M 0.11%
7,995
DGX icon
236
Quest Diagnostics
DGX
$20.5B
$1.08M 0.11%
9,774
EMR icon
237
Emerson Electric
EMR
$74.6B
$1.07M 0.11%
15,500
XL
238
DELISTED
XL Group Ltd.
XL
$1.05M 0.1%
18,738
HST icon
239
Host Hotels & Resorts
HST
$12B
$1.04M 0.1%
49,300
CNQ icon
240
Canadian Natural Resources
CNQ
$63.2B
$1.04M 0.1%
58,605
INFO
241
DELISTED
IHS Markit Ltd. Common Shares
INFO
$1.03M 0.1%
19,979
-2,200
-10% -$114K
CBRE icon
242
CBRE Group
CBRE
$48.9B
$1.03M 0.1%
21,500
FTS icon
243
Fortis
FTS
$24.8B
$1.01M 0.1%
31,742
AMTD
244
DELISTED
TD Ameritrade Holding Corp
AMTD
$1.01M 0.1%
18,500
-1,300
-7% -$71.2K
LNC icon
245
Lincoln National
LNC
$7.98B
$1.01M 0.1%
16,145
DOC icon
246
Healthpeak Properties
DOC
$12.8B
$1M 0.1%
38,832
PFG icon
247
Principal Financial Group
PFG
$17.8B
$1M 0.1%
18,945
IDXX icon
248
Idexx Laboratories
IDXX
$51.4B
$981K 0.1%
4,500
-500
-10% -$109K
AWK icon
249
American Water Works
AWK
$28B
$980K 0.1%
11,481
OMC icon
250
Omnicom Group
OMC
$15.4B
$979K 0.1%
12,840
+7,900
+160% +$602K