PAM

Panagora Asset Management Portfolio holdings

AUM $22.2B
1-Year Return 29.16%
This Quarter Return
-5.53%
1 Year Return
+29.16%
3 Year Return
+132.43%
5 Year Return
+253.36%
10 Year Return
+641.18%
AUM
$18.9B
AUM Growth
-$1.01B
Cap. Flow
+$460M
Cap. Flow %
2.43%
Top 10 Hldgs %
16.37%
Holding
2,598
New
169
Increased
855
Reduced
881
Closed
277

Top Buys

1
NKE icon
Nike
NKE
+$67.1M
2
C icon
Citigroup
C
+$64.2M
3
BA icon
Boeing
BA
+$50.6M
4
UNH icon
UnitedHealth
UNH
+$48.5M
5
MCK icon
McKesson
MCK
+$47.8M

Top Sells

1
CI icon
Cigna
CI
+$84.2M
2
ABBV icon
AbbVie
ABBV
+$70.4M
3
KR icon
Kroger
KR
+$63.2M
4
MDT icon
Medtronic
MDT
+$59.8M
5
QCOM icon
Qualcomm
QCOM
+$46.1M

Sector Composition

1 Healthcare 15.75%
2 Technology 15.58%
3 Financials 13.73%
4 Consumer Discretionary 11.53%
5 Industrials 9.42%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
NWS icon
2276
News Corp Class B
NWS
$18.2B
$3K ﹤0.01%
+200
New +$3K
RM icon
2277
Regional Management Corp
RM
$418M
$3K ﹤0.01%
188
-342
-65% -$5.46K
PGTI
2278
DELISTED
PGT, Inc.
PGTI
$3K ﹤0.01%
231
-657
-74% -$8.53K
MINI
2279
DELISTED
Mobile Mini Inc
MINI
$3K ﹤0.01%
95
-173
-65% -$5.46K
DTLK
2280
DELISTED
Datalink Corp
DTLK
$3K ﹤0.01%
470
-855
-65% -$5.46K
ESI
2281
DELISTED
ITT EDUCATIONAL SERVICES INC
ESI
$3K ﹤0.01%
800
OHAI
2282
DELISTED
OHA Investment Corporation
OHAI
$3K ﹤0.01%
611
-1,538
-72% -$7.55K
CLF icon
2283
Cleveland-Cliffs
CLF
$5.78B
$2K ﹤0.01%
900
-7,052
-89% -$15.7K
IMMR icon
2284
Immersion
IMMR
$221M
$2K ﹤0.01%
215
-600
-74% -$5.58K
OPK icon
2285
Opko Health
OPK
$1.11B
$2K ﹤0.01%
+212
New +$2K
SHOO icon
2286
Steven Madden
SHOO
$2.26B
$2K ﹤0.01%
83
-238
-74% -$5.74K
SLRC icon
2287
SLR Investment Corp
SLRC
$877M
$2K ﹤0.01%
144
-262
-65% -$3.64K
SMTC icon
2288
Semtech
SMTC
$5.23B
$2K ﹤0.01%
124
-94,637
-100% -$1.53M
TBBK icon
2289
The Bancorp
TBBK
$3.5B
$2K ﹤0.01%
323
-586
-64% -$3.63K
HMTV
2290
DELISTED
Hemisphere Media Group, Inc.
HMTV
$2K ﹤0.01%
131
-399
-75% -$6.09K
PHH
2291
DELISTED
PHH Corporation
PHH
$2K ﹤0.01%
120
-5,022
-98% -$83.7K
ELRC
2292
DELISTED
ELECTRO RENT CORP
ELRC
$2K ﹤0.01%
+200
New +$2K
EXXI
2293
DELISTED
ENERGY XXI LTD COM SHS
EXXI
$2K ﹤0.01%
1,462
-2,138
-59% -$2.93K
CDE icon
2294
Coeur Mining
CDE
$9.98B
$1K ﹤0.01%
350
PII icon
2295
Polaris
PII
$3.22B
$1K ﹤0.01%
10
RDNT icon
2296
RadNet
RDNT
$5.69B
$1K ﹤0.01%
230
-926
-80% -$4.03K
FRTX
2297
DELISTED
Fresh Tracks Therapeutics, Inc. Common Stock
FRTX
$1K ﹤0.01%
1
-1
-50% -$1K
CSS
2298
DELISTED
CSS Industries, Inc.
CSS
$1K ﹤0.01%
54
-1,655
-97% -$30.6K
MNI
2299
DELISTED
The McClatchy Company Class A Common Stock
MNI
$1K ﹤0.01%
100
-364
-78% -$3.64K
PWE
2300
DELISTED
Penn West Energy Petroleum Ltd
PWE
$1K ﹤0.01%
2,700