RIM

Rampart Investment Management Portfolio holdings

AUM $158M
This Quarter Return
+11.04%
1 Year Return
+27.88%
3 Year Return
+74.04%
5 Year Return
+165.37%
10 Year Return
AUM
$158M
AUM Growth
+$158M
Cap. Flow
-$470M
Cap. Flow %
-297.43%
Top 10 Hldgs %
24.17%
Holding
541
New
10
Increased
8
Reduced
381
Closed
138

Sector Composition

1 Consumer Discretionary 17.29%
2 Healthcare 15.9%
3 Technology 15.79%
4 Communication Services 15.35%
5 Materials 7.43%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AAPL icon
1
Apple
AAPL
$3.45T
$6.07M 3.83% 52,383 -10,403 -17% -$1.2M
AMZN icon
2
Amazon
AMZN
$2.44T
$5.84M 3.69% 1,856 -5,429 -75% -$17.1M
META icon
3
Meta Platforms (Facebook)
META
$1.86T
$5.63M 3.56% 21,506 -30,577 -59% -$8.01M
MSFT icon
4
Microsoft
MSFT
$3.77T
$5.19M 3.28% 24,664 -87,171 -78% -$18.3M
HD icon
5
Home Depot
HD
$405B
$3.16M 2% 11,394 -22,505 -66% -$6.25M
GOOGL icon
6
Alphabet (Google) Class A
GOOGL
$2.57T
$2.8M 1.77% 1,912 -3,553 -65% -$5.21M
GOOG icon
7
Alphabet (Google) Class C
GOOG
$2.58T
$2.75M 1.74% 1,871 -3,580 -66% -$5.26M
JNJ icon
8
Johnson & Johnson
JNJ
$427B
$2.44M 1.54% 16,357 -30,731 -65% -$4.57M
LIN icon
9
Linde
LIN
$224B
$2.22M 1.4% 9,315 -27,334 -75% -$6.51M
HYG icon
10
iShares iBoxx $ High Yield Corporate Bond ETF
HYG
$17.8B
$2.13M 1.35% 25,376 -11,496 -31% -$964K
LQD icon
11
iShares iBoxx $ Investment Grade Corporate Bond ETF
LQD
$29.5B
$2.12M 1.34% 15,712 -4,008 -20% -$540K
EMB icon
12
iShares JPMorgan USD Emerging Markets Bond ETF
EMB
$13.4B
$2.12M 1.34% 19,085 -2,617 -12% -$290K
SHY icon
13
iShares 1-3 Year Treasury Bond ETF
SHY
$24.5B
$2.11M 1.34% 24,427 -1,692 -6% -$146K
TIP icon
14
iShares TIPS Bond ETF
TIP
$13.6B
$2.11M 1.33% 16,699 -1,869 -10% -$236K
UNH icon
15
UnitedHealth
UNH
$281B
$1.84M 1.17% 5,915 -15,468 -72% -$4.82M
NKE icon
16
Nike
NKE
$114B
$1.8M 1.14% 14,349 -47,829 -77% -$6M
MCD icon
17
McDonald's
MCD
$224B
$1.75M 1.11% 7,971 -16,473 -67% -$3.62M
TMUS icon
18
T-Mobile US
TMUS
$284B
$1.34M 0.84% 11,672 -41,711 -78% -$4.77M
MRK icon
19
Merck
MRK
$210B
$1.31M 0.83% 15,831 -29,860 -65% -$2.48M
CMCSA icon
20
Comcast
CMCSA
$125B
$1.28M 0.81% 27,561 -91,811 -77% -$4.25M
PFE icon
21
Pfizer
PFE
$141B
$1.27M 0.8% 34,585 -64,650 -65% -$2.37M
ATVI
22
DELISTED
Activision Blizzard Inc.
ATVI
$1.26M 0.8% 15,579 -33,824 -68% -$2.74M
NFLX icon
23
Netflix
NFLX
$513B
$1.25M 0.79% 2,496 -7,523 -75% -$3.76M
ABT icon
24
Abbott
ABT
$231B
$1.24M 0.79% 11,418 -21,516 -65% -$2.34M
CHTR icon
25
Charter Communications
CHTR
$36.3B
$1.2M 0.76% 1,923 -3,612 -65% -$2.26M