PAM

Princeton Alpha Management Portfolio holdings

AUM $299M
1-Year Return 11.81%
This Quarter Return
-2.91%
1 Year Return
+11.81%
3 Year Return
-9.27%
5 Year Return
10 Year Return
AUM
$617M
AUM Growth
+$34.7M
Cap. Flow
+$35.7M
Cap. Flow %
5.79%
Top 10 Hldgs %
9.26%
Holding
1,085
New
395
Increased
150
Reduced
157
Closed
383

Sector Composition

1 Financials 15.07%
2 Consumer Discretionary 12.62%
3 Industrials 12.17%
4 Technology 9.73%
5 Healthcare 9.67%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SPPI
726
DELISTED
Spectrum Pharmaceuticals Inc
SPPI
-14,631
Closed -$88K
ISEE
727
DELISTED
IVERIC bio, Inc. Common Stock
ISEE
-3,298
Closed -$259K
BSMX
728
DELISTED
Banco Santander México, S, A., Institución de Banca Múltiple, Grupo Financiero Santander México
BSMX
-20,866
Closed -$181K
BBBY
729
DELISTED
Bed Bath & Beyond Inc
BBBY
-8,608
Closed -$415K
UMPQ
730
DELISTED
Umpqua Holdings Corp
UMPQ
-31,701
Closed -$504K
RFP
731
DELISTED
Resolute Forest Products Inc.
RFP
-21,525
Closed -$163K
VIVO
732
DELISTED
Meridian Bioscience Inc
VIVO
-19,554
Closed -$401K
CLR
733
DELISTED
CONTINENTAL RESOURCES INC.
CLR
-35,538
Closed -$817K
ZEN
734
DELISTED
ZENDESK INC
ZEN
-13,322
Closed -$352K
MIC
735
DELISTED
Macquarie Infrastructure Holdings, LLC
MIC
-7,993
Closed -$580K
FOE
736
DELISTED
Ferro Corporation
FOE
-26,217
Closed -$292K
SC
737
DELISTED
SANTANDER CONSUMER USA HOLDINGS INC
SC
-14,929
Closed -$237K
COR
738
DELISTED
Coresite Realty Corporation
COR
-5,181
Closed -$294K
KSU
739
DELISTED
Kansas City Southern
KSU
-14,521
Closed -$1.08M
XEC
740
DELISTED
CIMAREX ENERGY CO
XEC
-21,621
Closed -$1.93M
MSGN
741
DELISTED
MSG Networks Inc.
MSGN
-20,671
Closed -$430K
AEGN
742
DELISTED
Aegion Corp
AEGN
-16,268
Closed -$314K
FLIR
743
DELISTED
FLIR Systems, Inc. (DE) Common Stock
FLIR
-17,296
Closed -$485K
ZAGG
744
DELISTED
ZAGG Inc Common Stock (Delaware)
ZAGG
-15,522
Closed -$170K
CXO
745
DELISTED
CONCHO RESOURCES INC.
CXO
-7,391
Closed -$686K
WPX
746
DELISTED
WPX Energy, Inc.
WPX
-29,148
Closed -$167K
DNKN
747
DELISTED
Dunkin' Brands Group, Inc.
DNKN
-21,027
Closed -$896K
AMTD
748
DELISTED
TD Ameritrade Holding Corp
AMTD
-32,668
Closed -$1.13M
MNTA
749
DELISTED
Momenta Pharmaceuticals, Inc.
MNTA
-10,591
Closed -$157K
LM
750
DELISTED
Legg Mason, Inc.
LM
-17,298
Closed -$679K