QAM

Quantres Asset Management Portfolio holdings

AUM $138M
This Quarter Return
+9.73%
1 Year Return
-11.79%
3 Year Return
-11.16%
5 Year Return
-31.75%
10 Year Return
AUM
$138M
AUM Growth
+$138M
Cap. Flow
-$29M
Cap. Flow %
-21.01%
Top 10 Hldgs %
29.62%
Holding
264
New
81
Increased
26
Reduced
35
Closed
120

Sector Composition

1 Technology 23.43%
2 Healthcare 15.53%
3 Consumer Discretionary 13.2%
4 Financials 12.44%
5 Communication Services 10.01%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
NI icon
126
NiSource
NI
$19.7B
$258K 0.19%
9,000
-2,700
-23% -$77.4K
MMM icon
127
3M
MMM
$81B
$249K 0.18%
+1,435
New +$249K
UHS icon
128
Universal Health Services
UHS
$11.6B
$241K 0.17%
1,800
-900
-33% -$121K
FOX icon
129
Fox Class B
FOX
$24.4B
$239K 0.17%
+6,665
New +$239K
UNM icon
130
Unum
UNM
$12.4B
$227K 0.16%
+6,700
New +$227K
CAH icon
131
Cardinal Health
CAH
$36B
$217K 0.16%
4,500
-30,700
-87% -$1.48M
ES icon
132
Eversource Energy
ES
$23.5B
$213K 0.15%
+3,000
New +$213K
JNJ icon
133
Johnson & Johnson
JNJ
$429B
$210K 0.15%
1,500
-32,400
-96% -$4.54M
UAA icon
134
Under Armour
UAA
$2.17B
$209K 0.15%
9,900
-31,700
-76% -$669K
BHF icon
135
Brighthouse Financial
BHF
$2.55B
$207K 0.15%
+5,700
New +$207K
CBRE icon
136
CBRE Group
CBRE
$47.3B
$203K 0.15%
+4,100
New +$203K
SO icon
137
Southern Company
SO
$101B
$202K 0.15%
3,900
-23,300
-86% -$1.21M
COTY icon
138
Coty
COTY
$3.78B
$186K 0.13%
16,200
-5,500
-25% -$63.1K
HPE icon
139
Hewlett Packard
HPE
$29.9B
$173K 0.13%
11,200
-13,200
-54% -$204K
CELG
140
DELISTED
Celgene Corp
CELG
-7,500
Closed -$481K
SIVB
141
DELISTED
SVB Financial Group
SIVB
-3,400
Closed -$646K
DISH
142
DELISTED
DISH Network Corp.
DISH
-50,000
Closed -$1.25M
DISCA
143
DELISTED
Discovery, Inc. Series A Common Stock
DISCA
-13,300
Closed -$329K
NFX
144
DELISTED
Newfield Exploration
NFX
-49,600
Closed -$727K
TFCF
145
DELISTED
Twenty-First Century Fox, Inc. Class B
TFCF
-11,100
Closed -$530K
TFCFA
146
DELISTED
Twenty-First Century Fox, Inc. Class A
TFCFA
-6,300
Closed -$303K
APC
147
DELISTED
Anadarko Petroleum
APC
-7,900
Closed -$346K
VIAB
148
DELISTED
Viacom Inc. Class B
VIAB
-14,100
Closed -$362K
STI
149
DELISTED
SunTrust Banks, Inc.
STI
-16,200
Closed -$817K
WCG
150
DELISTED
Wellcare Health Plans, Inc.
WCG
-1,600
Closed -$378K