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Pinnacle Associates Portfolio holdings

AUM $9.16B
1-Year Est. Return 63.5%
This Fund
S&P 500
This Quarter Est. Return
+0.55%
1 Year Est. Return
+63.5%
3 Year Est. Return
+138.65%
5 Year Est. Return
+164.85%
10 Year Est. Return
+932.39%
AUM
$4.64B
AUM Growth
-$34.5M
Cap. Flow
+$20.6M
Cap. Flow %
0.44%
Top 10 Hldgs %
18.87%
Holding
679
New
56
Increased
248
Reduced
298
Closed
42

Sector Composition

Rank Sector Weight
1 Communication Services 17%
2 Technology 16.69%
3 Healthcare 13.59%
4 Industrials 10.77%
5 Consumer Discretionary 7.5%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
AIT icon
401
Applied Industrial Technologies
AIT
$13.3B
$829K 0.02%
18,361
-1,283
-7% -$57.5K
HCA icon
402
HCA Healthcare
HCA
$89.5B
$816K 0.02%
10,592
+787
+8% +$62.1K
MPC icon
403
Marathon Petroleum
MPC
$83.7B
$816K 0.02%
21,504
+753
+4% +$27.7K
GEN icon
404
Gen Digital
GEN
$17.5B
$812K 0.02%
39,514
+14,344
+57% +$258K
VLY icon
405
Valley National Bancorp
VLY
$8.04B
$811K 0.02%
88,875
-225
-0.3% -$2.1K
BT
406
DELISTED
BT Group plc (ADR)
BT
$811K 0.02%
+29,120
New +$914K
NEM icon
407
Newmont
NEM
$119B
$797K 0.02%
20,364
-824
-4% -$27.3K
ADP icon
408
Automatic Data Processing
ADP
$108B
$795K 0.02%
8,658
+18
+0.2% +$1.59K
RSG icon
409
Republic Services
RSG
$65.7B
$783K 0.02%
15,267
-149
-1% -$7.15K
CM icon
410
Canadian Imperial Bank of Commerce
CM
$108B
$782K 0.02%
20,832
-1,476
-7% -$57.5K
CP icon
411
Canadian Pacific Kansas City
CP
$80.5B
$781K 0.02%
30,320
-1,850
-6% -$49.9K
DTE icon
412
DTE Energy
DTE
$29.1B
$752K 0.02%
8,917
+62
+0.7% +$4.79K
EEM icon
413
iShares MSCI Emerging Markets ETF
EEM
$30B
$751K 0.02%
21,868
+1,415
+7% +$47.5K
VXUS icon
414
Vanguard Total International Stock ETF
VXUS
$163B
$751K 0.02%
16,893
-19,798
-54% -$893K
AFSI
415
DELISTED
AmTrust Financial Services, Inc.
AFSI
$746K 0.02%
30,438
+6,436
+27% +$164K
CAG icon
416
Conagra Brands
CAG
$7.23B
$742K 0.02%
19,932
-4,130
-17% -$147K
WMB icon
417
Williams Companies
WMB
$86.1B
$739K 0.02%
34,168
-12,276
-26% -$246K
NSC icon
418
Norfolk Southern
NSC
$75.1B
$731K 0.02%
8,581
+498
+6% +$42.3K
SQM icon
419
Sociedad Química y Minera de Chile
SQM
$20.6B
$726K 0.02%
+29,370
New +$645K
ETP
420
DELISTED
Energy Transfer Partners L.p.
ETP
$726K 0.02%
19,058
-1,898
-9% -$68K
LHX icon
421
L3Harris
LHX
$53.4B
$725K 0.02%
8,688
-269
-3% -$21.3K
HSBC icon
422
HSBC
HSBC
$356B
$724K 0.02%
25,955
+4,714
+22% +$133K
ING icon
423
ING
ING
$102B
$708K 0.02%
68,569
-1,560
-2% -$18.5K
ASML icon
424
ASML
ASML
$669B
$705K 0.02%
7,110
-176
-2% -$17.1K
WPP icon
425
WPP
WPP
$5.94B
$703K 0.02%
6,724
+198
+3% +$22.6K

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Pinnacle Associates's Q2 2016 Portfolio in Review

As of Q2 2016, Pinnacle Associates held 679 positions worth $4.64B, down 0.74% from $4.67B the previous quarter. Its ten largest holdings account for 19% of the portfolio.

Pinnacle Associates's Q2 2016 filing shows 56 new, 248 increased, 298 reduced and 42 closed positions. Its largest new stake was Liberty Media Corporation Series C Liberty SiriusXM Common Stock: 710,650 shares worth $16.7M. The largest sale was ATMEL CORP, an estimated $62.3M.

By sector, the portfolio is most concentrated in Communication Services at 17% of assets, down from 18% a quarter earlier, followed by Technology and Healthcare.

  • Pinnacle Associates's largest Q2 2016 buy was Liberty Media Corporation Series C Liberty SiriusXM Common Stock: 710,650 shares worth $16.7M.
  • Pinnacle Associates added most to Integrated Device Technology I in Q2 2016, an estimated $24.2M increase.
  • Pinnacle Associates's biggest Q2 2016 reduction was Equity Residential, cutting an estimated $6M.
  • Pinnacle Associates fully exited ATMEL CORP in Q2 2016, selling an estimated $62.3M.
  • Pinnacle Associates's ten largest holdings make up 19% of its $4.64B portfolio in Q2 2016.
  • Pinnacle Associates opened 56 new positions and closed 42 in Q2 2016.
  • Pinnacle Associates's portfolio value fell 0.74% quarter-over-quarter to $4.64B.

Based on Pinnacle Associates's 13F filing for Q2 2016, filed 15 Aug 2016.