PAM

Paradigm Asset Management Portfolio holdings

AUM $405M
1-Year Return 15.78%
This Quarter Return
+4.82%
1 Year Return
+15.78%
3 Year Return
+47.15%
5 Year Return
+99.02%
10 Year Return
+216.38%
AUM
$583M
AUM Growth
Cap. Flow
+$583M
Cap. Flow %
100%
Top 10 Hldgs %
8.92%
Holding
727
New
727
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Financials 15.9%
2 Industrials 13.42%
3 Healthcare 13.39%
4 Consumer Discretionary 12.58%
5 Technology 8.52%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
INFA
376
DELISTED
INFORMATICA CORP
INFA
$323K 0.06%
+9,220
New +$323K
TAL
377
DELISTED
TAL INTERNATIONAL GROUP, INC.
TAL
$318K 0.05%
+7,300
New +$318K
ONXX
378
DELISTED
ONYX PHARMACEUTICALS INC
ONXX
$313K 0.05%
+3,600
New +$313K
MKTG
379
DELISTED
RESPONSYS INC COM STK (CA)
MKTG
$312K 0.05%
+21,800
New +$312K
ABM icon
380
ABM Industries
ABM
$2.82B
$311K 0.05%
+12,700
New +$311K
EE
381
DELISTED
El Paso Electric Company
EE
$311K 0.05%
+8,800
New +$311K
DY icon
382
Dycom Industries
DY
$7.51B
$310K 0.05%
+13,400
New +$310K
SUSQ
383
DELISTED
SUSQUEHANNA BANCSHARES INC
SUSQ
$310K 0.05%
+24,100
New +$310K
DRH icon
384
DiamondRock Hospitality
DRH
$1.72B
$307K 0.05%
+32,900
New +$307K
EXR icon
385
Extra Space Storage
EXR
$30.8B
$306K 0.05%
+7,300
New +$306K
WKC icon
386
World Kinect Corp
WKC
$1.41B
$306K 0.05%
+7,650
New +$306K
MGRC icon
387
McGrath RentCorp
MGRC
$3.02B
$306K 0.05%
+8,950
New +$306K
PPG icon
388
PPG Industries
PPG
$24.6B
$305K 0.05%
+4,160
New +$305K
CST
389
DELISTED
CST Brands, Inc.
CST
$304K 0.05%
+9,863
New +$304K
GWR
390
DELISTED
Genesee & Wyoming Inc.
GWR
$303K 0.05%
+3,570
New +$303K
SCCO icon
391
Southern Copper
SCCO
$82.9B
$302K 0.05%
+11,473
New +$302K
SHLM
392
DELISTED
Schulman (A.) Inc
SHLM
$300K 0.05%
+11,200
New +$300K
HE icon
393
Hawaiian Electric Industries
HE
$2.08B
$300K 0.05%
+11,850
New +$300K
CMG icon
394
Chipotle Mexican Grill
CMG
$51.9B
$299K 0.05%
+41,000
New +$299K
BEAV
395
DELISTED
B/E Aerospace Inc
BEAV
$298K 0.05%
+6,532
New +$298K
TTEC icon
396
TTEC Holdings
TTEC
$179M
$298K 0.05%
+12,700
New +$298K
TZOO icon
397
Travelzoo
TZOO
$103M
$297K 0.05%
+10,900
New +$297K
LHO
398
DELISTED
LaSalle Hotel Properties
LHO
$291K 0.05%
+11,800
New +$291K
RDEN
399
DELISTED
ELIZABETH ARDEN INC
RDEN
$291K 0.05%
+6,450
New +$291K
TRW
400
DELISTED
TRW AUTOMOTIVE HOLDINGS CORP
TRW
$289K 0.05%
+4,350
New +$289K