PIM

PCO Investment Management Portfolio holdings

AUM $177M
This Quarter Return
-2.91%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$177M
AUM Growth
+$177M
Cap. Flow
+$14.9M
Cap. Flow %
8.39%
Top 10 Hldgs %
45.66%
Holding
52
New
12
Increased
11
Reduced
11
Closed
18

Sector Composition

1 Technology 21.97%
2 Industrials 20.6%
3 Communication Services 13.43%
4 Consumer Discretionary 7.3%
5 Real Estate 4.87%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
RAX
1
DELISTED
Rackspace Hosting Inc
RAX
$10.6M 6% 286,251 +86,251 +43% +$3.21M
HURN icon
2
Huron Consulting
HURN
$2.37B
$9.59M 5.41% +136,851 New +$9.59M
MSFT icon
3
Microsoft
MSFT
$3.77T
$9.22M 5.2% 208,880 +50,869 +32% +$2.25M
TYC
4
DELISTED
TYCO INTL PLC COM SHS (IRL)
TYC
$8.63M 4.87% +224,250 New +$8.63M
CKEC
5
DELISTED
Carmike Cinemas Inc
CKEC
$7.46M 4.2% 280,905 +60,905 +28% +$1.62M
DFS
6
DELISTED
Discover Financial Services
DFS
$7.43M 4.19% 129,024 -72,389 -36% -$4.17M
PARA
7
DELISTED
Paramount Global Class B
PARA
$7.38M 4.16% 132,939 +9,041 +7% +$502K
HUB.B
8
DELISTED
HUBBELL INC CL-B
HUB.B
$7.33M 4.13% 67,665 +36,459 +117% +$3.95M
IIP
9
DELISTED
INTERNAP NETWORK SERVICES CORPORATION
IIP
$6.77M 3.82% 731,623 +235,900 +48% +$2.18M
PWR icon
10
Quanta Services
PWR
$56.3B
$6.52M 3.68% +226,309 New +$6.52M
ASNA
11
DELISTED
Ascena Retail Group, Inc.
ASNA
$5.84M 3.29% 350,630 +179,390 +105% +$2.99M
KS
12
DELISTED
KapStone Paper and Pack Corp.
KS
$5.79M 3.27% 250,618 +43,495 +21% +$1.01M
AEO icon
13
American Eagle Outfitters
AEO
$2.24B
$5.62M 3.17% 326,242 -39,092 -11% -$673K
AVG
14
DELISTED
AVG Technologies N.V.
AVG
$5.24M 2.96% +192,611 New +$5.24M
KFY icon
15
Korn Ferry
KFY
$3.88B
$5.23M 2.95% 150,420 -33,754 -18% -$1.17M
A icon
16
Agilent Technologies
A
$35.7B
$5.21M 2.94% +135,100 New +$5.21M
TG icon
17
Tredegar Corp
TG
$272M
$5.05M 2.85% 228,376 +84,454 +59% +$1.87M
CALX icon
18
Calix
CALX
$3.88B
$5.02M 2.83% 659,179 -13,685 -2% -$104K
TRCO
19
DELISTED
TRIBUNE MEDIA COMPANY CLASS A
TRCO
$4.89M 2.76% 91,572 -29,335 -24% -$1.57M
WEB
20
DELISTED
Web.com Group, Inc.
WEB
$4.78M 2.69% 197,166 +146,766 +291% +$3.55M
URBN icon
21
Urban Outfitters
URBN
$6.02B
$4.73M 2.66% +135,000 New +$4.73M
LADR
22
Ladder Capital
LADR
$1.48B
$4.7M 2.65% 270,694 -39,962 -13% -$693K
EXTR icon
23
Extreme Networks
EXTR
$2.83B
$4.54M 2.56% 1,686,669 +127,847 +8% +$344K
URI icon
24
United Rentals
URI
$61.5B
$4.21M 2.37% +47,990 New +$4.21M
MEG
25
DELISTED
Media General, Inc
MEG
$4.09M 2.3% 247,330 -16,211 -6% -$268K