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
GTE icon
1376
Gran Tierra Energy
GTE
$135M
$320K 0.01%
8,297
-1,111
-12% -$42.8K
DTRE icon
1377
First Trust Alerian Disruptive Technology Real Estate ETF
DTRE
$15.5M
$319K 0.01%
7,298
+383
+6% +$16.7K
HTGC icon
1378
Hercules Capital
HTGC
$3.53B
$318K 0.01%
21,415
+4,306
+25% +$63.9K
SMG icon
1379
ScottsMiracle-Gro
SMG
$3.6B
$318K 0.01%
5,121
+191
+4% +$11.9K
WPS
1380
DELISTED
iShares International Developed Property ETF
WPS
$318K 0.01%
8,770
+234
+3% +$8.49K
IPK
1381
DELISTED
SPDR S&P International Technology Sector
IPK
$318K 0.01%
+10,146
New +$318K
INN
1382
Summit Hotel Properties
INN
$608M
$317K 0.01%
25,464
-16,641
-40% -$207K
TER icon
1383
Teradyne
TER
$18.9B
$317K 0.01%
16,084
+2,267
+16% +$44.7K
HYD icon
1384
VanEck High Yield Muni ETF
HYD
$3.35B
$315K 0.01%
+5,125
New +$315K
FCG icon
1385
First Trust Natural Gas ETF
FCG
$325M
$314K 0.01%
5,608
+1,738
+45% +$97.3K
IPD
1386
DELISTED
SPDR S&P International Consumer Discretionary Sector
IPD
$314K 0.01%
+8,468
New +$314K
MINC
1387
DELISTED
AdvisorShares Newfleet Multi-Sector Income ETF
MINC
$313K 0.01%
6,398
+1,981
+45% +$96.9K
EVV
1388
Eaton Vance Limited Duration Income Fund
EVV
$1.21B
$312K 0.01%
+22,123
New +$312K
DATA
1389
DELISTED
Tableau Software, Inc.
DATA
$312K 0.01%
3,690
+649
+21% +$54.9K
IST
1390
DELISTED
SPDR S&P International Telecommunications Sector
IST
$312K 0.01%
+12,426
New +$312K
MDP
1391
DELISTED
Meredith Corporation
MDP
$311K 0.01%
5,713
+272
+5% +$14.8K
ECPG icon
1392
Encore Capital Group
ECPG
$1.03B
$310K 0.01%
7,006
-593
-8% -$26.2K
SLM icon
1393
SLM Corp
SLM
$6.35B
$310K 0.01%
30,581
-966
-3% -$9.79K
ITT icon
1394
ITT
ITT
$13.5B
$308K 0.01%
7,644
-4,363
-36% -$176K
CSFL
1395
DELISTED
CenterState Bank Corporation Common Stock
CSFL
$308K 0.01%
25,883
+15,409
+147% +$183K
N
1396
DELISTED
Netsuite Inc
N
$308K 0.01%
+2,807
New +$308K
DDS icon
1397
Dillards
DDS
$9.02B
$307K 0.01%
2,450
+329
+16% +$41.2K
NSR
1398
DELISTED
Neustar Inc
NSR
$306K 0.01%
10,904
+37
+0.3% +$1.04K
BITA
1399
DELISTED
Bitauto Holdings Limited
BITA
$305K 0.01%
4,327
+492
+13% +$34.7K
POR icon
1400
Portland General Electric
POR
$4.61B
$304K 0.01%
+7,996
New +$304K