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Pitcairn Portfolio holdings

AUM $1.27B
1-Year Est. Return 23.64%
This Fund
S&P 500
This Quarter Est. Return
+20.57%
1 Year Est. Return
+23.64%
3 Year Est. Return
+111.21%
5 Year Est. Return
+126.49%
10 Year Est. Return
+390.85%
AUM
$1.04B
AUM Growth
+$196M
Cap. Flow
+$38.8M
Cap. Flow %
3.72%
Top 10 Hldgs %
51.37%
Holding
540
New
107
Increased
188
Reduced
193
Closed
42

Sector Composition

Rank Sector Weight
1 Consumer Staples 29%
2 Miscellaneous 23.96%
3 Technology 12.59%
4 Healthcare 9.03%
5 Financials 7.47%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
FMX icon
401
Fomento Económico Mexicano
FMX
$40.8B
$249K 0.02%
+4,009
New +$255K
SMP icon
402
Standard Motor Products
SMP
$882M
$249K 0.02%
6,047
+31
+0.5% +$1.25K
B
403
DELISTED
Barnes Group Inc.
B
$248K 0.02%
6,271
+445
+8% +$17.1K
AUB icon
404
Atlantic Union Bankshares
AUB
$5.74B
$247K 0.02%
10,683
+752
+8% +$16.9K
MRTX
405
DELISTED
Mirati Therapeutics, Inc. Common Stock
MRTX
$247K 0.02%
+2,160
New +$209K
COO icon
406
Cooper Companies
COO
$13.2B
$246K 0.02%
3,476
-444
-11% -$32.9K
PNFP icon
407
Pinnacle Financial Partners Inc
PNFP
$15.2B
$246K 0.02%
+5,875
New +$233K
THG icon
408
Hanover Insurance
THG
$7.82B
$246K 0.02%
2,429
+29
+1% +$2.84K
CB icon
409
Chubb
CB
$130B
$245K 0.02%
1,928
-378
-16% -$43.8K
ET icon
410
Energy Transfer Partners
ET
$74.1B
$245K 0.02%
34,452
VRSN icon
411
VeriSign
VRSN
$25.5B
$245K 0.02%
1,181
+6
+0.5% +$1.25K
CUB
412
DELISTED
Cubic Corporation
CUB
$242K 0.02%
+5,043
New +$205K
CF icon
413
CF Industries
CF
$20.3B
$240K 0.02%
8,531
-2,694
-24% -$76.6K
CNI icon
414
Canadian National Railway
CNI
$74.3B
$240K 0.02%
2,712
-1,114
-29% -$92.7K
HAL icon
415
Halliburton
HAL
$30.7B
$240K 0.02%
18,520
+5,829
+46% +$62.8K
PPLI
416
People Inc
PPLI
$2.86B
$238K 0.02%
+4,124
New +$183K
ALC icon
417
Alcon
ALC
$33.4B
$237K 0.02%
+4,133
New +$234K
LZB icon
418
La-Z-Boy
LZB
$1.27B
$237K 0.02%
+8,763
New +$211K
PH icon
419
Parker-Hannifin
PH
$120B
$237K 0.02%
1,292
-633
-33% -$102K
KMX icon
420
CarMax
KMX
$8.6B
$233K 0.02%
+2,603
New +$204K
GSG icon
421
iShares S&P GSCI Commodity-Indexed Trust
GSG
$1.02B
$232K 0.02%
22,404
DUK icon
422
Duke Energy
DUK
$94.5B
$231K 0.02%
2,900
-322
-10% -$27.2K
KHC icon
423
Kraft Heinz
KHC
$29.5B
$231K 0.02%
+7,232
New +$217K
PARA
424
DELISTED
Paramount Global Class B
PARA
$231K 0.02%
+9,892
New +$191K
BCC icon
425
Boise Cascade
BCC
$2.68B
$228K 0.02%
+6,072
New +$190K

Similar funds

Pitcairn's Q2 2020 Portfolio in Review

As of Q2 2020, Pitcairn held 540 positions worth $1.04B, up 23% from $845M the previous quarter. Its ten largest holdings account for 51% of the portfolio.

Pitcairn deployed $38.8M of net new capital in Q2 2020, opening 107 new positions and adding to 188 existing holdings. Its largest new stake was NYLIM Hedge Multi-Strategy Tracker ETF: 352,967 shares worth $10.7M.

By sector, the portfolio is most concentrated in Consumer Staples at 29% of assets, down from 31% a quarter earlier, followed by Miscellaneous and Technology.

On the sell side, the largest reduction was State Street SPDR MSCI ACWI ex-US ETF, an estimated $4.67M trimmed.

  • Pitcairn's largest Q2 2020 buy was NYLIM Hedge Multi-Strategy Tracker ETF: 352,967 shares worth $10.7M.
  • Pitcairn added most to State Street SPDR S&P International Small Cap ETF in Q2 2020, an estimated $10.4M increase.
  • Pitcairn's biggest Q2 2020 reduction was State Street SPDR MSCI ACWI ex-US ETF, cutting an estimated $4.67M.
  • Pitcairn fully exited Textron in Q2 2020, selling an estimated $924K.
  • Pitcairn's ten largest holdings make up 51% of its $1.04B portfolio in Q2 2020.
  • Pitcairn opened 107 new positions and closed 42 in Q2 2020.
  • Pitcairn's portfolio value rose 23% quarter-over-quarter to $1.04B.

Based on Pitcairn's 13F filing for Q2 2020, filed 28 Jul 2020.