OGC

One68 Global Capital Portfolio holdings

AUM $204M
This Quarter Return
+15.01%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$204M
AUM Growth
+$16.6M
Cap. Flow
+$21.6M
Cap. Flow %
10.61%
Top 10 Hldgs %
68.98%
Holding
136
New
45
Increased
25
Reduced
16
Closed
46

Sector Composition

1 Healthcare 22.73%
2 Industrials 19.17%
3 Consumer Discretionary 14.54%
4 Consumer Staples 13.18%
5 Energy 10.21%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AMTM
76
Amentum Holdings, Inc.
AMTM
$5.77B
$218K 0.11%
+12,000
New +$218K
FROG icon
77
JFrog
FROG
$5.83B
$208K 0.1%
6,500
-4,000
-38% -$128K
RCL icon
78
Royal Caribbean
RCL
$93.8B
$205K 0.1%
+1,000
New +$205K
FL
79
DELISTED
Foot Locker
FL
$197K 0.1%
14,000
+3,000
+27% +$42.3K
MSOS icon
80
AdvisorShares Pure US Cannabis ETF
MSOS
$889M
$196K 0.1%
75,000
+25,000
+50% +$65.3K
SDRL icon
81
Seadrill
SDRL
$1.99B
$174K 0.09%
+26,000
New +$174K
EYPT icon
82
EyePoint Pharmaceuticals
EYPT
$978M
$167K 0.08%
30,800
+5,000
+19% +$27.1K
FRSH icon
83
Freshworks
FRSH
$3.87B
$141K 0.07%
+10,000
New +$141K
RIVN icon
84
Rivian
RIVN
$16.9B
$125K 0.06%
+10,000
New +$125K
GETY icon
85
Getty Images
GETY
$776M
$121K 0.06%
+70,000
New +$121K
VNDA icon
86
Vanda Pharmaceuticals
VNDA
$266M
$120K 0.06%
+26,060
New +$120K
BITF
87
Bitfarms
BITF
$879M
$118K 0.06%
150,000
-40,000
-21% -$31.5K
IP icon
88
International Paper
IP
$24.8B
$81.7K 0.04%
27,037
+16,904
+167% +$51.1K
AMPS
89
DELISTED
Altus Power, Inc.
AMPS
$60K 0.03%
12,123
+2,123
+21% +$10.5K
IOVA icon
90
Iovance Biotherapeutics
IOVA
$858M
$33.3K 0.02%
10,000
ALIT icon
91
Alight
ALIT
$1.96B
-21,000
Closed -$145K
ACI icon
92
Albertsons Companies
ACI
$10.5B
-27,249
Closed -$535K
ADBE icon
93
Adobe
ADBE
$150B
-1,000
Closed -$445K
BALY icon
94
Bally's
BALY
$491M
-145,705
Closed -$2.61M
BDSX icon
95
Biodesix
BDSX
$68.1M
-13,829
Closed -$21.2K
BHC icon
96
Bausch Health
BHC
$2.67B
-11,166
Closed -$90K
BLCO icon
97
Bausch + Lomb
BLCO
$5.41B
-40,674
Closed -$735K
CLF icon
98
Cleveland-Cliffs
CLF
$5.35B
-32,381
Closed -$304K
CMCSA icon
99
Comcast
CMCSA
$124B
-10,000
Closed -$375K
COP icon
100
ConocoPhillips
COP
$115B
-5,000
Closed -$496K