PA

Pinnacle Associates Portfolio holdings

AUM $6.91B
1-Year Return 19.7%
This Quarter Return
+13.46%
1 Year Return
+19.7%
3 Year Return
+83.05%
5 Year Return
+159.73%
10 Year Return
+431.93%
AUM
$4.56B
AUM Growth
+$319M
Cap. Flow
-$171M
Cap. Flow %
-3.74%
Top 10 Hldgs %
17.13%
Holding
747
New
46
Increased
232
Reduced
365
Closed
45

Sector Composition

1 Technology 23.2%
2 Healthcare 12.26%
3 Communication Services 11.21%
4 Industrials 11.14%
5 Financials 8.51%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
GRA
551
DELISTED
W.R. Grace & Co.
GRA
$440K 0.01%
6,302
-1,000
-14% -$69.8K
FLOT icon
552
iShares Floating Rate Bond ETF
FLOT
$9.12B
$439K 0.01%
8,626
-110
-1% -$5.6K
ING icon
553
ING
ING
$71B
$439K 0.01%
36,400
-580
-2% -$7K
GAM
554
General American Investors Company
GAM
$1.41B
$437K 0.01%
11,575
EL icon
555
Estee Lauder
EL
$32.1B
$428K 0.01%
2,072
-160
-7% -$33.1K
B
556
Barrick Mining Corporation
B
$48.5B
$425K 0.01%
22,854
+525
+2% +$9.76K
BEN icon
557
Franklin Resources
BEN
$13B
$422K 0.01%
16,255
-725
-4% -$18.8K
BHC icon
558
Bausch Health
BHC
$2.72B
$420K 0.01%
14,050
-50
-0.4% -$1.5K
SIX
559
DELISTED
Six Flags Entertainment Corp.
SIX
$420K 0.01%
9,320
-50
-0.5% -$2.25K
AMC icon
560
AMC Entertainment Holdings
AMC
$1.41B
$418K 0.01%
5,776
-4,054
-41% -$293K
MLM icon
561
Martin Marietta Materials
MLM
$37.5B
$414K 0.01%
1,481
NFRA icon
562
FlexShares STOXX Global Broad Infrastructure Index Fund
NFRA
$2.91B
$405K 0.01%
+7,525
New +$405K
SPB icon
563
Spectrum Brands
SPB
$1.38B
$402K 0.01%
+6,255
New +$402K
CPE
564
DELISTED
Callon Petroleum Company
CPE
$402K 0.01%
+8,318
New +$402K
INGR icon
565
Ingredion
INGR
$8.24B
$394K 0.01%
4,239
-301
-7% -$28K
XPO icon
566
XPO
XPO
$15.4B
$394K 0.01%
14,283
-868
-6% -$23.9K
MKC icon
567
McCormick & Company Non-Voting
MKC
$19B
$389K 0.01%
4,588
-294
-6% -$24.9K
VGT icon
568
Vanguard Information Technology ETF
VGT
$99.9B
$383K 0.01%
1,564
-250
-14% -$61.2K
MEAR icon
569
BlackRock Short Maturity Municipal Bond ETF
MEAR
$1.22B
$380K 0.01%
+7,580
New +$380K
MCK icon
570
McKesson
MCK
$85.5B
$374K 0.01%
2,705
+143
+6% +$19.8K
IDV icon
571
iShares International Select Dividend ETF
IDV
$5.74B
$372K 0.01%
11,094
+1,212
+12% +$40.6K
GCI icon
572
Gannett
GCI
$629M
$360K 0.01%
+56,478
New +$360K
SPSB icon
573
SPDR Portfolio Short Term Corporate Bond ETF
SPSB
$8.41B
$356K 0.01%
11,545
SPFF icon
574
Global X SuperIncome Preferred ETF
SPFF
$135M
$354K 0.01%
30,178
-1,010
-3% -$11.8K
KEY icon
575
KeyCorp
KEY
$20.8B
$350K 0.01%
17,307
-1,217
-7% -$24.6K