PI

Placemark Investments Portfolio holdings

AUM $5.66B
1-Year Return 10.93%
This Quarter Return
+4.77%
1 Year Return
+10.93%
3 Year Return
5 Year Return
10 Year Return
AUM
$5.66B
AUM Growth
+$246M
Cap. Flow
+$55M
Cap. Flow %
0.97%
Top 10 Hldgs %
8.96%
Holding
1,752
New
124
Increased
873
Reduced
619
Closed
134

Sector Composition

1 Healthcare 10.99%
2 Financials 10.82%
3 Technology 10.77%
4 Industrials 8.25%
5 Consumer Discretionary 6.7%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
KBE icon
1351
SPDR S&P Bank ETF
KBE
$1.62B
$336K 0.01%
10,040
+963
+11% +$32.2K
FNHC
1352
DELISTED
FedNat Holding Company Common Stock
FNHC
$336K 0.01%
13,892
-957
-6% -$23.1K
MDSO
1353
DELISTED
Medidata Solutions, Inc.
MDSO
$335K 0.01%
7,008
-184
-3% -$8.8K
PEI
1354
DELISTED
Pennsylvania Real Estate Investment Trust
PEI
$335K 0.01%
950
+172
+22% +$60.7K
NLY icon
1355
Annaly Capital Management
NLY
$14.2B
$334K 0.01%
7,756
+545
+8% +$23.5K
CMD
1356
DELISTED
Cantel Medical Corporation
CMD
$334K 0.01%
7,726
-805
-9% -$34.8K
SLX icon
1357
VanEck Steel ETF
SLX
$82.2M
$332K 0.01%
9,374
-1,169
-11% -$41.4K
APOG icon
1358
Apogee Enterprises
APOG
$927M
$331K 0.01%
7,807
-2,440
-24% -$103K
SWY
1359
DELISTED
SAFEWAY INC
SWY
$331K 0.01%
9,462
-3,841
-29% -$134K
INFA
1360
DELISTED
INFORMATICA CORP
INFA
$330K 0.01%
8,650
+891
+11% +$34K
CMA icon
1361
Comerica
CMA
$8.83B
$329K 0.01%
7,027
-864
-11% -$40.5K
IXP icon
1362
iShares Global Comm Services ETF
IXP
$612M
$329K 0.01%
5,472
-18,139
-77% -$1.09M
BCR
1363
DELISTED
CR Bard Inc.
BCR
$329K 0.01%
1,993
-150
-7% -$24.8K
MNR
1364
DELISTED
Monmouth Real Estate Investment Corp
MNR
$328K 0.01%
29,643
+2,034
+7% +$22.5K
BBY icon
1365
Best Buy
BBY
$16.3B
$327K 0.01%
8,427
+1,235
+17% +$47.9K
COLM icon
1366
Columbia Sportswear
COLM
$3.1B
$327K 0.01%
7,373
+567
+8% +$25.1K
TD icon
1367
Toronto Dominion Bank
TD
$128B
$327K 0.01%
+6,926
New +$327K
RGP
1368
DELISTED
REGENCY ENERGY PARTNERS LP COMMON UTS REP LIMITED PART INTS
RGP
$327K 0.01%
13,669
+3,278
+32% +$78.4K
AOM icon
1369
iShares Core Moderate Allocation ETF
AOM
$1.6B
$326K 0.01%
+9,265
New +$326K
CMS icon
1370
CMS Energy
CMS
$21.2B
$325K 0.01%
+9,345
New +$325K
MOG.A icon
1371
Moog
MOG.A
$6.17B
$325K 0.01%
4,354
-128
-3% -$9.55K
R icon
1372
Ryder
R
$7.67B
$323K 0.01%
3,475
+423
+14% +$39.3K
ALR
1373
DELISTED
Alere Inc
ALR
$323K 0.01%
8,494
-887
-9% -$33.7K
LHX icon
1374
L3Harris
LHX
$51.2B
$321K 0.01%
4,416
-1,299
-23% -$94.4K
NGLS
1375
DELISTED
TARGA RESOURCES PARTNERS LP COM UTS REPTG LTD PARTERSHIP INT
NGLS
$321K 0.01%
6,704
+1,281
+24% +$61.3K