RVPG

Relative Value Partners Group Portfolio holdings

AUM $772M
This Quarter Return
+5.36%
1 Year Return
+15.6%
3 Year Return
+8.89%
5 Year Return
+33.96%
10 Year Return
AUM
$772M
AUM Growth
+$772M
Cap. Flow
-$877M
Cap. Flow %
-113.49%
Top 10 Hldgs %
32.44%
Holding
511
New
228
Increased
57
Reduced
36
Closed
190

Sector Composition

1 Technology 23.04%
2 Financials 6.83%
3 Communication Services 6.67%
4 Healthcare 4.62%
5 Consumer Discretionary 4.43%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BAC.PRL icon
51
Bank of America Series L
BAC.PRL
$3.85B
$3.8M 0.49%
+3,180
New +$3.8M
CAT icon
52
Caterpillar
CAT
$194B
$3.69M 0.48%
11,077
+10,112
+1,048% +$3.37M
ALL icon
53
Allstate
ALL
$53.9B
$3.67M 0.48%
+22,984
New +$3.67M
COMB icon
54
GraniteShares Bloomberg Commodity Broad Strategy No K-1 ETF
COMB
$86.6M
$3.59M 0.46%
+176,261
New +$3.59M
LNG icon
55
Cheniere Energy
LNG
$52.6B
$3.52M 0.46%
+20,156
New +$3.52M
IJT icon
56
iShares S&P Small-Cap 600 Growth ETF
IJT
$6.21B
$3.5M 0.45%
+27,284
New +$3.5M
BBUS icon
57
JPMorgan BetaBuilders US Equity ETF
BBUS
$5.35B
$3.48M 0.45%
+35,501
New +$3.48M
MRK icon
58
Merck
MRK
$210B
$3.46M 0.45%
27,966
+18,245
+188% +$2.26M
EOG icon
59
EOG Resources
EOG
$65.8B
$3.29M 0.43%
+26,136
New +$3.29M
NOC icon
60
Northrop Grumman
NOC
$83.2B
$3.25M 0.42%
+7,451
New +$3.25M
ULTA icon
61
Ulta Beauty
ULTA
$23.8B
$3.23M 0.42%
8,377
+7,954
+1,880% +$3.07M
AMD icon
62
Advanced Micro Devices
AMD
$263B
$3.15M 0.41%
+19,427
New +$3.15M
HD icon
63
Home Depot
HD
$406B
$3.15M 0.41%
9,137
+7,128
+355% +$2.45M
AMJB icon
64
Alerian MLP Index ETNs due January 28 2044
AMJB
$708M
$3.1M 0.4%
+107,110
New +$3.1M
AXON icon
65
Axon Enterprise
AXON
$56.9B
$3.08M 0.4%
+10,469
New +$3.08M
GLD icon
66
SPDR Gold Trust
GLD
$111B
$3.04M 0.39%
14,121
+11,240
+390% +$2.42M
CMCSA icon
67
Comcast
CMCSA
$125B
$3.03M 0.39%
77,463
+68,583
+772% +$2.69M
ANET icon
68
Arista Networks
ANET
$173B
$3M 0.39%
+8,557
New +$3M
TDTT icon
69
FlexShares iBoxx 3-Year Target Duration TIPS Index Fund
TDTT
$2.75B
$2.99M 0.39%
+126,632
New +$2.99M
TTD icon
70
Trade Desk
TTD
$26.3B
$2.97M 0.38%
+30,360
New +$2.97M
MCHI icon
71
iShares MSCI China ETF
MCHI
$7.91B
$2.87M 0.37%
+67,975
New +$2.87M
FCX icon
72
Freeport-McMoran
FCX
$66.3B
$2.86M 0.37%
+58,902
New +$2.86M
CRM icon
73
Salesforce
CRM
$245B
$2.83M 0.37%
11,022
+8,280
+302% +$2.13M
CVX icon
74
Chevron
CVX
$318B
$2.81M 0.36%
17,982
+6,887
+62% +$1.08M
MCD icon
75
McDonald's
MCD
$226B
$2.8M 0.36%
10,974
-16,233
-60% -$4.14M