PSI

Pinnacle Summer Investments Portfolio holdings

AUM $678M
1-Year Return 9.53%
This Quarter Return
+3.52%
1 Year Return
-9.53%
3 Year Return
5 Year Return
10 Year Return
AUM
$678M
AUM Growth
+$93.4M
Cap. Flow
+$84.7M
Cap. Flow %
12.49%
Top 10 Hldgs %
55.83%
Holding
1,148
New
100
Increased
299
Reduced
265
Closed
294

Sector Composition

1 Energy 34.84%
2 Financials 13.15%
3 Real Estate 5.81%
4 Healthcare 4.93%
5 Technology 3.55%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
DISH
276
DELISTED
DISH Network Corp.
DISH
$86K 0.01%
1,500
VBR icon
277
Vanguard Small-Cap Value ETF
VBR
$31.8B
$84K 0.01%
852
+43
+5% +$4.24K
CLF icon
278
Cleveland-Cliffs
CLF
$5.63B
$83K 0.01%
53,133
+5,940
+13% +$9.28K
TXN icon
279
Texas Instruments
TXN
$171B
$83K 0.01%
1,530
+700
+84% +$38K
DCP
280
DELISTED
DCP Midstream, LP
DCP
$83K 0.01%
3,345
+90
+3% +$2.23K
UNP icon
281
Union Pacific
UNP
$131B
$81K 0.01%
1,040
-18,648
-95% -$1.45M
VXF icon
282
Vanguard Extended Market ETF
VXF
$24.1B
$81K 0.01%
968
-800
-45% -$66.9K
HAL icon
283
Halliburton
HAL
$18.8B
$80K 0.01%
2,365
-425
-15% -$14.4K
MCK icon
284
McKesson
MCK
$85.5B
$79K 0.01%
400
ETR icon
285
Entergy
ETR
$39.2B
$78K 0.01%
2,314
+950
+70% +$32K
LYB icon
286
LyondellBasell Industries
LYB
$17.7B
$78K 0.01%
900
-10,615
-92% -$920K
PRFZ icon
287
Invesco FTSE RAFI US 1500 Small-Mid ETF
PRFZ
$2.56B
$78K 0.01%
4,140
EMR icon
288
Emerson Electric
EMR
$74.6B
$77K 0.01%
1,593
-5,281
-77% -$255K
ET icon
289
Energy Transfer Partners
ET
$59.7B
$76K 0.01%
5,486
+1,513
+38% +$21K
MLPL
290
DELISTED
UBS AG 2XMTHLY LEV LG EXCH TRD ACCESS SEC E-TRACS ALERIAN
MLPL
$76K 0.01%
3,400
GILD icon
291
Gilead Sciences
GILD
$143B
$75K 0.01%
740
-594
-45% -$60.2K
TIP icon
292
iShares TIPS Bond ETF
TIP
$13.6B
$75K 0.01%
7,887
+814
+12% +$7.74K
AKRX
293
DELISTED
Akorn, Inc.
AKRX
$75K 0.01%
+2,000
New +$75K
CHRD icon
294
Chord Energy
CHRD
$5.92B
$74K 0.01%
10,000
MS icon
295
Morgan Stanley
MS
$236B
$74K 0.01%
2,323
+1,028
+79% +$32.7K
TFCFA
296
DELISTED
Twenty-First Century Fox, Inc. Class A
TFCFA
$73K 0.01%
2,695
+6
+0.2% +$163
AA icon
297
Alcoa
AA
$8.24B
$72K 0.01%
3,035
+1,644
+118% +$39K
BKNG icon
298
Booking.com
BKNG
$178B
$72K 0.01%
57
-31
-35% -$39.2K
GS icon
299
Goldman Sachs
GS
$223B
$72K 0.01%
400
+64
+19% +$11.5K
MMU
300
Western Asset Managed Municipals Fund
MMU
$551M
$72K 0.01%
5,120
+2,560
+100% +$36K