QCMC

Quantum Capital Management (California) Portfolio holdings

AUM $89.7M
1-Year Return 27.83%
This Quarter Return
+5.81%
1 Year Return
+27.83%
3 Year Return
+53.98%
5 Year Return
+109.35%
10 Year Return
AUM
$89.7M
AUM Growth
-$81.6M
Cap. Flow
-$85.6M
Cap. Flow %
-95.38%
Top 10 Hldgs %
45.33%
Holding
311
New
7
Increased
49
Reduced
105
Closed
86

Sector Composition

1 Technology 16.44%
2 Healthcare 8.58%
3 Consumer Discretionary 6.05%
4 Industrials 6.04%
5 Communication Services 4.23%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SCHF icon
201
Schwab International Equity ETF
SCHF
$50.5B
$14K 0.02%
900
XLU icon
202
Utilities Select Sector SPDR Fund
XLU
$20.7B
$14K 0.02%
240
SCHE icon
203
Schwab Emerging Markets Equity ETF
SCHE
$10.8B
$12K 0.01%
471
+51
+12% +$1.3K
TIP icon
204
iShares TIPS Bond ETF
TIP
$13.6B
$12K 0.01%
102
-8
-7% -$941
VYM icon
205
Vanguard High Dividend Yield ETF
VYM
$64.2B
$12K 0.01%
149
AAL icon
206
American Airlines Group
AAL
$8.63B
$11K 0.01%
965
XLB icon
207
Materials Select Sector SPDR Fund
XLB
$5.52B
$11K 0.01%
175
DVY icon
208
iShares Select Dividend ETF
DVY
$20.8B
$10K 0.01%
126
LW icon
209
Lamb Weston
LW
$8.08B
$10K 0.01%
164
WIP icon
210
SPDR FTSE International Government Inflation-Protected Bond ETF
WIP
$340M
$10K 0.01%
200
-76
-28% -$3.8K
VOX icon
211
Vanguard Communication Services ETF
VOX
$5.82B
$9K 0.01%
90
CNCR
212
DELISTED
ETF Series Solutions Trust Range Cancer Therapeutics ETF
CNCR
$8K 0.01%
300
BNDX icon
213
Vanguard Total International Bond ETF
BNDX
$68.4B
$5K 0.01%
87
CAF
214
Morgan Stanley China A Share Fund
CAF
$263M
$5K 0.01%
266
SCHD icon
215
Schwab US Dividend Equity ETF
SCHD
$71.8B
$5K 0.01%
303
WRK
216
DELISTED
WestRock Company
WRK
$5K 0.01%
153
TIF
217
DELISTED
Tiffany & Co.
TIF
$5K 0.01%
44
CL icon
218
Colgate-Palmolive
CL
$68.8B
$4K ﹤0.01%
58
PCG icon
219
PG&E
PCG
$33.2B
$4K ﹤0.01%
500
TJX icon
220
TJX Companies
TJX
$155B
$4K ﹤0.01%
79
SBRA icon
221
Sabra Healthcare REIT
SBRA
$4.56B
$2K ﹤0.01%
163
NGVT icon
222
Ingevity
NGVT
$2.18B
$1K ﹤0.01%
25
ABBV icon
223
AbbVie
ABBV
$375B
-10,629
Closed -$1.04M
AER icon
224
AerCap
AER
$22B
-3,186
Closed -$98K
ALNT icon
225
Allient
ALNT
$772M
-42,084
Closed -$990K