PAM

Princeton Alpha Management Portfolio holdings

AUM $299M
1-Year Return 11.81%
This Quarter Return
+3.55%
1 Year Return
+11.81%
3 Year Return
-9.27%
5 Year Return
10 Year Return
AUM
$299M
AUM Growth
-$187M
Cap. Flow
-$199M
Cap. Flow %
-66.51%
Top 10 Hldgs %
8.84%
Holding
874
New
206
Increased
94
Reduced
228
Closed
345

Sector Composition

1 Financials 16.25%
2 Consumer Discretionary 12.55%
3 Industrials 12.42%
4 Healthcare 11.58%
5 Technology 9.95%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MSI icon
476
Motorola Solutions
MSI
$79.8B
$202K 0.07%
2,338
-10,047
-81% -$868K
LUMN icon
477
Lumen
LUMN
$4.87B
$201K 0.07%
8,510
-39,919
-82% -$943K
MLCO icon
478
Melco Resorts & Entertainment
MLCO
$3.8B
$196K 0.07%
+10,584
New +$196K
SCS icon
479
Steelcase
SCS
$1.97B
$196K 0.07%
11,693
-13,542
-54% -$227K
NLY icon
480
Annaly Capital Management
NLY
$14.2B
$194K 0.06%
+4,370
New +$194K
CDR
481
DELISTED
Cedar Realty Trust, Inc
CDR
$183K 0.06%
5,535
+3,796
+218% +$126K
CROX icon
482
Crocs
CROX
$4.72B
$182K 0.06%
25,731
+6,675
+35% +$47.2K
TPH icon
483
Tri Pointe Homes
TPH
$3.25B
$179K 0.06%
+14,313
New +$179K
PDS
484
Precision Drilling
PDS
$754M
$178K 0.06%
1,890
+293
+18% +$27.6K
MYCC
485
DELISTED
ClubCorp Holdings, Inc.
MYCC
$175K 0.06%
+10,902
New +$175K
PLAB icon
486
Photronics
PLAB
$1.36B
$171K 0.06%
15,950
+3,105
+24% +$33.3K
REGI
487
DELISTED
Renewable Energy Group, Inc.
REGI
$170K 0.06%
16,297
-542
-3% -$5.65K
CPL
488
DELISTED
CPFL Energia S.A.
CPL
$167K 0.06%
+10,192
New +$167K
EC icon
489
Ecopetrol
EC
$18.7B
$166K 0.06%
17,831
+1,634
+10% +$15.2K
SVU
490
DELISTED
SUPERVALU Inc.
SVU
$165K 0.06%
6,113
+4,567
+295% +$123K
AHT
491
Ashford Hospitality Trust
AHT
$37.7M
$164K 0.05%
26
SHOR
492
DELISTED
ShoreTel, Inc.
SHOR
$159K 0.05%
+25,816
New +$159K
VIV icon
493
Telefônica Brasil
VIV
$20.1B
$158K 0.05%
+10,651
New +$158K
SITC icon
494
SITE Centers
SITC
$490M
$156K 0.05%
9,670
-6,303
-39% -$102K
HMHC
495
DELISTED
Houghton Mifflin Harcourt Company
HMHC
$153K 0.05%
15,096
-1,429
-9% -$14.5K
MNDT
496
DELISTED
Mandiant, Inc. Common Stock
MNDT
$150K 0.05%
11,902
-41,474
-78% -$523K
FBR
497
DELISTED
Fibria Celulose Sa
FBR
$145K 0.05%
15,836
-5,912
-27% -$54.1K
TTI icon
498
TETRA Technologies
TTI
$625M
$144K 0.05%
+35,387
New +$144K
FMSA
499
DELISTED
Fairmount Santrol Holdings Inc.
FMSA
$141K 0.05%
+19,300
New +$141K
ENIA
500
DELISTED
Enel Amricas S.A. American Depositary Shares (Each representing 50 shares of Common Stock)
ENIA
$140K 0.05%
13,437
-15,188
-53% -$158K