RFCA

R&F Capital Advisors Portfolio holdings

AUM $387M
This Quarter Return
+5.78%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$387M
AUM Growth
+$104M
Cap. Flow
+$95M
Cap. Flow %
24.54%
Top 10 Hldgs %
9.31%
Holding
915
New
429
Increased
127
Reduced
106
Closed
252

Sector Composition

1 Financials 15.34%
2 Consumer Discretionary 12.51%
3 Healthcare 11.82%
4 Industrials 11.39%
5 Technology 10.84%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SLCA
476
DELISTED
U.S. SILICA HOLDINGS, INC.
SLCA
$245K 0.06%
+5,099
New +$245K
ENIA
477
DELISTED
Enel Amricas S.A. American Depositary Shares (Each representing 50 shares of Common Stock)
ENIA
$245K 0.06%
+23,622
New +$245K
TIF
478
DELISTED
Tiffany & Co.
TIF
$245K 0.06%
+2,568
New +$245K
BBT
479
Beacon Financial Corporation
BBT
$2.25B
$244K 0.06%
6,758
+685
+11% +$24.7K
ESPR icon
480
Esperion Therapeutics
ESPR
$542M
$244K 0.06%
+6,914
New +$244K
MEOH icon
481
Methanex
MEOH
$3.03B
$243K 0.06%
+5,173
New +$243K
ALEX
482
Alexander & Baldwin
ALEX
$1.39B
$241K 0.06%
+5,415
New +$241K
CLB icon
483
Core Laboratories
CLB
$596M
$240K 0.06%
+2,078
New +$240K
ACOR
484
DELISTED
Acorda Therapeutics, Inc.
ACOR
$240K 0.06%
+95
New +$240K
ENT
485
DELISTED
Global Eagle Entertainment Inc.
ENT
$240K 0.06%
+3,014
New +$240K
MDSO
486
DELISTED
Medidata Solutions, Inc.
MDSO
$240K 0.06%
+4,153
New +$240K
ANGO icon
487
AngioDynamics
ANGO
$438M
$239K 0.06%
+13,756
New +$239K
OFIX icon
488
Orthofix Medical
OFIX
$575M
$239K 0.06%
6,262
-3,288
-34% -$125K
QVCGA
489
QVC Group, Inc. Series A Common Stock
QVCGA
$76.6M
$239K 0.06%
+245
New +$239K
CYOU
490
DELISTED
Changyou.com Limited American Depositary Share
CYOU
$239K 0.06%
+8,514
New +$239K
AMP icon
491
Ameriprise Financial
AMP
$46.2B
$238K 0.06%
+1,833
New +$238K
MSM icon
492
MSC Industrial Direct
MSM
$5.24B
$238K 0.06%
+2,317
New +$238K
BIG
493
DELISTED
Big Lots, Inc.
BIG
$238K 0.06%
+4,890
New +$238K
BBWI icon
494
Bath & Body Works
BBWI
$5.93B
$236K 0.06%
6,192
-897
-13% -$34.2K
ITRI icon
495
Itron
ITRI
$5.49B
$236K 0.06%
3,889
-2,255
-37% -$137K
EHC icon
496
Encompass Health
EHC
$12.7B
$235K 0.06%
6,891
-2,816
-29% -$96K
SKT icon
497
Tanger
SKT
$3.88B
$235K 0.06%
7,186
-9,027
-56% -$295K
SWIR
498
DELISTED
Sierra Wireless
SWIR
$235K 0.06%
+8,850
New +$235K
HD icon
499
Home Depot
HD
$414B
$234K 0.06%
+1,594
New +$234K
ISCA
500
DELISTED
International Speedway Corp
ISCA
$234K 0.06%
+6,327
New +$234K