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
PF
76
DELISTED
Pinnacle Foods, Inc.
PF
$1.21M 0.31%
+20,942
New +$1.21M
TAP icon
77
Molson Coors Class B
TAP
$9.96B
$1.2M 0.31%
12,568
-9,002
-42% -$862K
GSK icon
78
GSK
GSK
$81.5B
$1.18M 0.3%
22,379
-1,216
-5% -$64.1K
VER
79
DELISTED
VEREIT, Inc.
VER
$1.18M 0.3%
27,733
+6,322
+30% +$268K
LEG icon
80
Leggett & Platt
LEG
$1.35B
$1.15M 0.3%
+22,834
New +$1.15M
CFG icon
81
Citizens Financial Group
CFG
$22.3B
$1.15M 0.3%
33,181
+13,557
+69% +$468K
NLY icon
82
Annaly Capital Management
NLY
$14.2B
$1.14M 0.29%
+25,632
New +$1.14M
TEVA icon
83
Teva Pharmaceuticals
TEVA
$21.7B
$1.12M 0.29%
34,954
+27,837
+391% +$894K
STE icon
84
Steris
STE
$24.2B
$1.08M 0.28%
15,482
+10,446
+207% +$725K
FTR
85
DELISTED
Frontier Communications Corp.
FTR
$1.07M 0.28%
33,443
+27,106
+428% +$870K
PH icon
86
Parker-Hannifin
PH
$96.1B
$1.07M 0.28%
6,669
+4,008
+151% +$642K
OMC icon
87
Omnicom Group
OMC
$15.4B
$1.05M 0.27%
+12,142
New +$1.05M
MTN icon
88
Vail Resorts
MTN
$5.87B
$1.04M 0.27%
+5,436
New +$1.04M
THG icon
89
Hanover Insurance
THG
$6.35B
$1.04M 0.27%
11,578
+5,097
+79% +$459K
COST icon
90
Costco
COST
$427B
$1.03M 0.27%
+6,149
New +$1.03M
UDR icon
91
UDR
UDR
$13B
$1.03M 0.27%
+28,419
New +$1.03M
REGN icon
92
Regeneron Pharmaceuticals
REGN
$60.8B
$1.01M 0.26%
2,594
-2
-0.1% -$775
XOM icon
93
Exxon Mobil
XOM
$466B
$1M 0.26%
+12,206
New +$1M
BCR
94
DELISTED
CR Bard Inc.
BCR
$998K 0.26%
+4,016
New +$998K
BP icon
95
BP
BP
$87.4B
$987K 0.26%
+32,775
New +$987K
DLTR icon
96
Dollar Tree
DLTR
$20.6B
$975K 0.25%
+12,428
New +$975K
YUM icon
97
Yum! Brands
YUM
$40.1B
$965K 0.25%
+15,103
New +$965K
BERY
98
DELISTED
Berry Global Group, Inc.
BERY
$964K 0.25%
21,617
+3,398
+19% +$152K
MU icon
99
Micron Technology
MU
$147B
$959K 0.25%
33,176
+18,273
+123% +$528K
EW icon
100
Edwards Lifesciences
EW
$47.5B
$951K 0.25%
+30,324
New +$951K