We are live on ! Find out more
PA

Pinnacle Associates Portfolio holdings

AUM $9.16B
1-Year Est. Return 63.5%
This Fund
S&P 500
This Quarter Est. Return
+0.19%
1 Year Est. Return
+63.5%
3 Year Est. Return
+138.65%
5 Year Est. Return
+164.85%
10 Year Est. Return
+779.36%
AUM
$5.1B
AUM Growth
-$102M
Cap. Flow
-$32.6M
Cap. Flow %
-0.64%
Top 10 Hldgs %
18.28%
Holding
726
New
46
Increased
201
Reduced
386
Closed
48

Sector Composition

Rank Sector Weight
1 Technology 23.22%
2 Healthcare 15.31%
3 Communication Services 14.63%
4 Industrials 10.37%
5 Miscellaneous 9.99%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
JWN
701
DELISTED
Nordstrom
JWN
-5,357
Closed -$254K
LIND icon
702
Lindblad Expeditions
LIND
$1.71B
-10,694
Closed -$105K
MPT
703
Medical Properties Trust
MPT
$2.11B
-11,050
Closed -$152K
NEAR icon
704
iShares Short Maturity Bond ETF
NEAR
$5.15B
-4,158
Closed -$208K
PHG icon
705
Philips
PHG
$24.3B
-11,758
Closed -$337K
PRGO icon
706
Perrigo
PRGO
$1.88B
-2,799
Closed -$244K
RSP icon
707
Invesco S&P 500 Equal Weight ETF
RSP
$98.3B
-3,710
Closed -$375K
SAN icon
708
Banco Santander
SAN
$213B
-10,595
Closed -$66K
SEE
709
DELISTED
Sealed Air
SEE
-4,512
Closed -$222K
SPB icon
710
Spectrum Brands
SPB
$1.97B
-3,518
Closed -$395K
SQM icon
711
Sociedad Química y Minera de Chile
SQM
$19.8B
-16,578
Closed -$984K
TRP icon
712
TC Energy
TRP
$63.6B
-6,978
Closed -$339K
UTHR icon
713
United Therapeutics
UTHR
$21.5B
-2,915
Closed -$431K
WCN
714
Waste Connections
WCN
$40.1B
-3,005
Closed -$213K
WYNN icon
715
Wynn Resorts
WYNN
$8.93B
-7,775
Closed -$1.31M
FIT
716
DELISTED
Fitbit, Inc. Class A common stock
FIT
-12,175
Closed -$70K
BMCH
717
DELISTED
BMC Stock Holdings, Inc
BMCH
-8,000
Closed -$202K
CTRL
718
DELISTED
Control4 Corporation
CTRL
-7,330
Closed -$218K
ARII
719
DELISTED
American Railcar Industries, Inc.
ARII
-8,225
Closed -$342K
AFSI
720
DELISTED
AmTrust Financial Services, Inc.
AFSI
-14,052
Closed -$142K
OA
721
DELISTED
Orbital ATK, Inc.
OA
-3,212
Closed -$422K
JUNO
722
DELISTED
Juno Therapeutics, Inc.
JUNO
-6,020
Closed -$275K
ORBC
723
DELISTED
ORBCOMM, Inc.
ORBC
-25,000
Closed -$255K
BOBE
724
DELISTED
Bob Evans Farms, Inc.
BOBE
-3,350
Closed -$264K
PIV
725
DELISTED
PWSHS S&P 500 HIGH QTY PORTF S&P HIGH QTY RKGS INDEX
PIV
-6,775
Closed -$206K

Similar funds

Pinnacle Associates's Q1 2018 Portfolio in Review

As of Q1 2018, Pinnacle Associates held 726 positions worth $5.1B, down 2% from $5.2B the previous quarter. Its ten largest holdings account for 18% of the portfolio.

Pinnacle Associates's Q1 2018 filing shows 46 new, 201 increased, 386 reduced and 48 closed positions. Its largest new stake was Advanced Energy: 358,420 shares worth $22.9M. The largest sale was State Street SPDR Bloomberg Convertible Securities ETF, an estimated $9.14M.

By sector, the portfolio is most concentrated in Technology at 23% of assets, up from 23% a quarter earlier, followed by Healthcare and Communication Services.

  • Pinnacle Associates's largest Q1 2018 buy was Advanced Energy: 358,420 shares worth $22.9M.
  • Pinnacle Associates added most to United Parks & Resorts in Q1 2018, an estimated $17.5M increase.
  • Pinnacle Associates's biggest Q1 2018 reduction was State Street SPDR Bloomberg Convertible Securities ETF, cutting an estimated $9.14M.
  • Pinnacle Associates fully exited Broadcom in Q1 2018, selling an estimated $3.24M.
  • Pinnacle Associates's ten largest holdings make up 18% of its $5.1B portfolio in Q1 2018.
  • Pinnacle Associates opened 46 new positions and closed 48 in Q1 2018.
  • Pinnacle Associates's portfolio value fell 2% quarter-over-quarter to $5.1B.

Based on Pinnacle Associates's 13F filing for Q1 2018, filed 11 May 2018.