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Paloma Partners Portfolio holdings

AUM $510M
1-Year Est. Return 286.05%
This Fund
S&P 500
This Quarter Est. Return
+4.95%
1 Year Est. Return
+286.05%
3 Year Est. Return
+321.92%
5 Year Est. Return
+284.54%
10 Year Est. Return
+855.7%
AUM
$7.99B
AUM Growth
-$1.1B
Cap. Flow
-$1.57B
Cap. Flow %
-19.62%
Top 10 Hldgs %
31.15%
Holding
2,460
New
343
Increased
553
Reduced
804
Closed
667

Sector Composition

Rank Sector Weight
1 Technology 3.47%
2 Consumer Discretionary 3.38%
3 Financials 2.99%
4 Industrials 2.65%
5 Healthcare 2.26%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
PSV
2251
DELISTED
Hermitage Offshore Services Ltd.
PSV
-6,321
Closed -$298K
OPB
2252
DELISTED
Opus Bank Common Stock
OPB
-10,468
Closed -$353K
AKRX
2253
DELISTED
Akorn Inc
AKRX
-27,988
Closed -$798K
CARO
2254
DELISTED
Carolina Financial Corp.
CARO
-19,522
Closed -$365K
OMN
2255
DELISTED
OMNOVA Solutions Inc.
OMN
-13,807
Closed -$100K
PEGI
2256
DELISTED
Pattern Energy Group Inc. Class A
PEGI
-16,252
Closed -$373K
FOMX
2257
DELISTED
Foamix Pharmaceuticals Ltd. Ordinary Shares
FOMX
-92,200
Closed -$585K
IPHS
2258
DELISTED
Innophos Holdings, Inc.
IPHS
-15,311
Closed -$646K
CBPX
2259
DELISTED
CONTINENTAL BUILDING PRODUCTS, INC.
CBPX
-38,725
Closed -$861K
WAIR
2260
DELISTED
WESCO Aircraft Holdings Inc.
WAIR
-15,692
Closed -$211K
MDCO
2261
DELISTED
Medicines Co
MDCO
-13,447
Closed -$453K
CRZO
2262
DELISTED
Carrizo Oil & Gas Inc
CRZO
-26,000
Closed -$932K
VSI
2263
DELISTED
Vitamin Shoppe Inc.
VSI
-20,575
Closed -$629K
FCSC
2264
DELISTED
Fibrocell Science Inc.
FCSC
-6,450
Closed -$111K
ORIT
2265
DELISTED
Oritani Financial Corp. New
ORIT
-14,991
Closed -$239K
NVTR
2266
DELISTED
Nuvectra Corporation Common Stock
NVTR
-35,116
Closed -$260K
AREX
2267
DELISTED
Approach Resources Inc.
AREX
-130,572
Closed -$274K
LTXB
2268
DELISTED
LegacyTexas Financial Group Inc
LTXB
-7,504
Closed -$202K
ROX
2269
DELISTED
Castle Brands, Inc.
ROX
-244,926
Closed -$179K
NRE
2270
DELISTED
NorthStar Realty Europe Corp.
NRE
-21,551
Closed -$200K
SFLY
2271
DELISTED
Shutterfly, Inc.
SFLY
-4,782
Closed -$223K
CRAY
2272
DELISTED
Cray, Inc.
CRAY
-33,804
Closed -$1.01M
FRED
2273
DELISTED
Fred's Inc
FRED
-15,921
Closed -$256K
WP
2274
DELISTED
Worldpay, Inc.
WP
-36,257
Closed -$2.05M
HF
2275
DELISTED
HFF Inc.
HF
-16,820
Closed -$486K

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Paloma Partners's Q3 2016 Portfolio in Review

As of Q3 2016, Paloma Partners held 2,460 positions worth $7.99B, down 12% from $9.09B the previous quarter. Its ten largest holdings account for 31% of the portfolio.

Paloma Partners withdrew a net $1.57B in Q3 2016, closing 667 positions and reducing 804 holdings. Its most notable exit was COLUMBIA PIPELINE GROUP IN COM STK (DE), an estimated $53.8M position sold in full.

By sector, the portfolio is most concentrated in Technology at 3.5% of assets, down from 5.4% a quarter earlier, followed by Consumer Discretionary and Financials.

Against the trend, Paloma Partners opened a new position in Liberty Broadband Class C worth $12.8M.

  • Paloma Partners's largest Q3 2016 buy was Liberty Broadband Class C: 178,501 shares worth $12.8M.
  • Paloma Partners added most to State Street SPDR S&P 500 ETF Trust in Q3 2016, an estimated $50.7M increase.
  • Paloma Partners's biggest Q3 2016 reduction was Biogen, cutting an estimated $61.3M.
  • Paloma Partners fully exited COLUMBIA PIPELINE GROUP IN COM STK (DE) in Q3 2016, selling an estimated $53.8M.
  • Paloma Partners's ten largest holdings make up 31% of its $7.99B portfolio in Q3 2016.
  • Paloma Partners opened 343 new positions and closed 667 in Q3 2016.
  • Paloma Partners's portfolio value fell 12% quarter-over-quarter to $7.99B.

Based on Paloma Partners's 13F filing for Q3 2016, filed 14 Nov 2016.