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
KEM
501
DELISTED
KEMET Corporation
KEM
$234K 0.06%
19,522
+7,993
+69% +$95.8K
CVI icon
502
CVR Energy
CVI
$3.33B
$232K 0.06%
+11,562
New +$232K
INGR icon
503
Ingredion
INGR
$8.16B
$232K 0.06%
1,927
-10,474
-84% -$1.26M
LOW icon
504
Lowe's Companies
LOW
$151B
$232K 0.06%
2,816
-14,344
-84% -$1.18M
REXR icon
505
Rexford Industrial Realty
REXR
$10.1B
$232K 0.06%
+10,322
New +$232K
BMCH
506
DELISTED
BMC Stock Holdings, Inc
BMCH
$232K 0.06%
+10,272
New +$232K
HSKA
507
DELISTED
Heska Corp
HSKA
$232K 0.06%
+2,208
New +$232K
IOSP icon
508
Innospec
IOSP
$2.07B
$231K 0.06%
+3,562
New +$231K
AXE
509
DELISTED
Anixter International Inc
AXE
$230K 0.06%
+2,897
New +$230K
KMI icon
510
Kinder Morgan
KMI
$59.2B
$229K 0.06%
10,542
-10,461
-50% -$227K
SPN
511
DELISTED
Superior Energy Services, Inc.
SPN
$227K 0.06%
+15,900
New +$227K
IBOC icon
512
International Bancshares
IBOC
$4.37B
$226K 0.06%
+6,381
New +$226K
MC icon
513
Moelis & Co
MC
$5.36B
$226K 0.06%
+5,868
New +$226K
MLI icon
514
Mueller Industries
MLI
$10.6B
$226K 0.06%
+13,212
New +$226K
H icon
515
Hyatt Hotels
H
$13.8B
$225K 0.06%
4,173
-1,839
-31% -$99.2K
LPL icon
516
LG Display
LPL
$4.39B
$224K 0.06%
+16,463
New +$224K
X
517
DELISTED
US Steel
X
$224K 0.06%
+6,628
New +$224K
TFCFA
518
DELISTED
Twenty-First Century Fox, Inc. Class A
TFCFA
$223K 0.06%
6,899
-46,410
-87% -$1.5M
MITL
519
DELISTED
Mitel Networks Corporation
MITL
$222K 0.06%
+32,005
New +$222K
BGC icon
520
BGC Group
BGC
$4.76B
$221K 0.06%
30,295
-13,701
-31% -$99.9K
FNSR
521
DELISTED
Finisar Corp
FNSR
$220K 0.06%
8,039
-9,461
-54% -$259K
QUAD icon
522
Quad
QUAD
$332M
$219K 0.06%
+8,672
New +$219K
WPP icon
523
WPP
WPP
$5.89B
$219K 0.06%
+2,002
New +$219K
FRED
524
DELISTED
Fred's Inc
FRED
$219K 0.06%
+16,741
New +$219K
CLDT
525
Chatham Lodging
CLDT
$350M
$218K 0.06%
+11,049
New +$218K