OIA

OneDigital Investment Advisors Portfolio holdings

AUM $9.01B
1-Year Return 12.67%
This Quarter Return
+4.14%
1 Year Return
+12.67%
3 Year Return
+47.24%
5 Year Return
+72.07%
10 Year Return
AUM
$272M
AUM Growth
-$63.1M
Cap. Flow
-$77.5M
Cap. Flow %
-28.47%
Top 10 Hldgs %
48.83%
Holding
1,327
New
68
Increased
213
Reduced
315
Closed
310
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ANET icon
601
Arista Networks
ANET
$180B
$20K 0.01%
1,728
+480
+38% +$5.56K
EHC icon
602
Encompass Health
EHC
$12.6B
$20K 0.01%
543
FBP icon
603
First Bancorp
FBP
$3.54B
$20K 0.01%
3,884
FXH icon
604
First Trust Health Care AlphaDEX Fund
FXH
$934M
$20K 0.01%
300
IP icon
605
International Paper
IP
$25.7B
$20K 0.01%
365
-53
-13% -$2.9K
LBRDK icon
606
Liberty Broadband Class C
LBRDK
$8.61B
$20K 0.01%
203
-58
-22% -$5.71K
LKQ icon
607
LKQ Corp
LKQ
$8.33B
$20K 0.01%
549
TV icon
608
Televisa
TV
$1.56B
$20K 0.01%
800
USCI icon
609
US Commodity Index
USCI
$259M
$20K 0.01%
+500
New +$20K
USO icon
610
United States Oil Fund
USO
$939M
$20K 0.01%
243
-1
-0.4% -$82
BCPC
611
Balchem Corporation
BCPC
$5.23B
$20K 0.01%
250
AEL
612
DELISTED
American Equity Investment Life Holding Company
AEL
$20K 0.01%
679
SVU
613
DELISTED
SUPERVALU Inc.
SVU
$20K 0.01%
935
-1
-0.1% -$21
CVG
614
DELISTED
Convergys
CVG
$20K 0.01%
754
MTSC
615
DELISTED
MTS Systems Corp
MTSC
$20K 0.01%
375
CY
616
DELISTED
Cypress Semiconductor
CY
$20K 0.01%
1,301
+164
+14% +$2.52K
MNRO icon
617
Monro
MNRO
$530M
$19K 0.01%
342
CRI icon
618
Carter's
CRI
$1.05B
$19K 0.01%
192
+34
+22% +$3.37K
CW icon
619
Curtiss-Wright
CW
$18.1B
$19K 0.01%
+178
New +$19K
EME icon
620
Emcor
EME
$28B
$19K 0.01%
280
ETJ
621
Eaton Vance Risk-Managed Diversified Equity Income Fund
ETJ
$609M
$19K 0.01%
2,000
EVV
622
Eaton Vance Limited Duration Income Fund
EVV
$1.2B
$19K 0.01%
1,350
FXL icon
623
First Trust Technology AlphaDEX Fund
FXL
$1.37B
$19K 0.01%
+400
New +$19K
ICE icon
624
Intercontinental Exchange
ICE
$99.8B
$19K 0.01%
277
+11
+4% +$755
KEYS icon
625
Keysight
KEYS
$28.9B
$19K 0.01%
449