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PAM

Panagora Asset Management Portfolio holdings

AUM $26.7B
1-Year Est. Return 36.4%
This Fund
S&P 500
This Quarter Est. Return
+4.97%
1 Year Est. Return
+36.4%
3 Year Est. Return
+128.64%
5 Year Est. Return
+186.75%
10 Year Est. Return
+733.24%
AUM
$28.2B
AUM Growth
+$3.4B
Cap. Flow
+$2.81B
Cap. Flow %
9.96%
Top 10 Hldgs %
34.61%
Holding
1,277
New
130
Increased
515
Reduced
382
Closed
101

Sector Composition

1 Technology 33.71%
2 Financials 13.58%
3 Consumer Discretionary 10.25%
4 Healthcare 10.1%
5 Communication Services 8.94%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
AVAH icon
426
Aveanna Healthcare
AVAH
$2.11B
$4.15M 0.01%
508,032
+191,974
+61% +$1.73M
CXM icon
427
Sprinklr
CXM
$1.28B
$4.14M 0.01%
532,727
+39,179
+8% +$298K
APA icon
428
APA Corp
APA
$11.8B
$4.09M 0.01%
+167,087
New +$4.04M
SLAB icon
429
Silicon Laboratories
SLAB
$7.21B
$4.01M 0.01%
30,695
+7,965
+35% +$1.05M
HUM icon
430
Humana
HUM
$47.1B
$3.99M 0.01%
15,590
+14,816
+1,914% +$3.88M
SYNA icon
431
Synaptics
SYNA
$4.95B
$3.96M 0.01%
53,522
+7,089
+15% +$498K
GHM icon
432
Graham Corp
GHM
$1.26B
$3.96M 0.01%
61,584
-3,273
-5% -$198K
PLD icon
433
Prologis
PLD
$131B
$3.95M 0.01%
30,977
+15,883
+105% +$1.98M
LXP icon
434
LXP Industrial Trust
LXP
$3.25B
$3.94M 0.01%
79,445
-22
-0% -$1.05K
DUK icon
435
Duke Energy
DUK
$97.8B
$3.94M 0.01%
33,574
-62,243
-65% -$7.6M
VZ icon
436
Verizon
VZ
$176B
$3.93M 0.01%
96,578
-89,495
-48% -$3.63M
KSA icon
437
iShares MSCI Saudi Arabia ETF
KSA
$650M
$3.92M 0.01%
107,677
ADBE icon
438
Adobe
ADBE
$88.9B
$3.91M 0.01%
11,166
-182,171
-94% -$62M
UTL icon
439
Unitil
UTL
$955M
$3.88M 0.01%
80,121
+24,857
+45% +$1.21M
LFST icon
440
Lifestance Health
LFST
$4.09B
$3.88M 0.01%
550,453
+472,323
+605% +$2.85M
T icon
441
AT&T
T
$147B
$3.86M 0.01%
155,536
-93,076
-37% -$2.36M
ARDX icon
442
Ardelyx
ARDX
$1.3B
$3.84M 0.01%
659,160
-527
-0.1% -$2.94K
NUE icon
443
Nucor
NUE
$51.8B
$3.8M 0.01%
23,312
+21,417
+1,130% +$3.22M
IDT icon
444
IDT Corp
IDT
$1.52B
$3.79M 0.01%
73,947
+321
+0.4% +$16.1K
AMCR icon
445
Amcor
AMCR
$20B
$3.77M 0.01%
90,451
-29,690
-25% -$1.22M
MGRC icon
446
McGrath RentCorp
MGRC
$2.87B
$3.68M 0.01%
35,062
-62
-0.2% -$6.72K
LOW icon
447
Lowe's Companies
LOW
$119B
$3.65M 0.01%
15,147
-14,380
-49% -$3.45M
IP icon
448
International Paper
IP
$20.1B
$3.65M 0.01%
92,580
+88,234
+2,030% +$3.63M
NMRK icon
449
Newmark Group
NMRK
$2.7B
$3.63M 0.01%
209,059
+21,627
+12% +$379K
LILA icon
450
Liberty Latin America Class A
LILA
$1.47B
$3.62M 0.01%
720,601
+57,441
+9% +$424K

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