RNS

Robert N. Shapiro Portfolio holdings

AUM $501M
1-Year Return 11.72%
This Quarter Return
+4.77%
1 Year Return
+11.72%
3 Year Return
5 Year Return
10 Year Return
AUM
$501M
AUM Growth
-$26.2M
Cap. Flow
-$45.2M
Cap. Flow %
-9.03%
Top 10 Hldgs %
20.77%
Holding
937
New
74
Increased
201
Reduced
356
Closed
48

Sector Composition

1 Healthcare 13.93%
2 Technology 13.24%
3 Industrials 12.13%
4 Financials 11.3%
5 Energy 9.64%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MNK
451
DELISTED
MALLINCKRODT PUBLIC LIMITED COMPANY
MNK
$52K 0.01%
531
+344
+184% +$33.7K
SNI
452
DELISTED
Scripps Networks Interactive, Inc Common Class A
SNI
$51K 0.01%
688
+8
+1% +$593
STR
453
DELISTED
QUESTAR CORP
STR
$51K 0.01%
2,045
-50
-2% -$1.25K
FWONA icon
454
Liberty Media Series A
FWONA
$22.9B
$50K 0.01%
2,109
-677
-24% -$16.1K
PSA icon
455
Public Storage
PSA
$50.9B
$50K 0.01%
268
VET icon
456
Vermilion Energy
VET
$1.13B
$50K 0.01%
1,000
GGP
457
DELISTED
GGP Inc.
GGP
$50K 0.01%
1,833
+1,119
+157% +$30.5K
NOC icon
458
Northrop Grumman
NOC
$81.8B
$49K 0.01%
335
VRSK icon
459
Verisk Analytics
VRSK
$37.5B
$49K 0.01%
765
VTR icon
460
Ventas
VTR
$31B
$49K 0.01%
594
+122
+26% +$10.1K
AERI
461
DELISTED
Aerie Pharmaceuticals, Inc.
AERI
$49K 0.01%
1,676
ELD icon
462
WisdomTree Emerging Markets Local Debt Fund
ELD
$74.3M
$48K 0.01%
1,157
DM
463
DELISTED
Dominion Energy Midstream Ptr LP
DM
$48K 0.01%
+1,232
New +$48K
LVNTA
464
DELISTED
Liberty Interactive Corporation Series A Liberty Ventures
LVNTA
$48K 0.01%
1,267
+745
+143% +$28.2K
DNB
465
DELISTED
Dun & Bradstreet
DNB
$47K 0.01%
383
+68
+22% +$8.35K
ENLK
466
DELISTED
EnLink Midstream Partners, LP
ENLK
$47K 0.01%
1,635
N
467
DELISTED
Netsuite Inc
N
$47K 0.01%
435
-360
-45% -$38.9K
FTR
468
DELISTED
Frontier Communications Corp.
FTR
$47K 0.01%
466
+52
+13% +$5.25K
YHOO
469
DELISTED
Yahoo Inc
YHOO
$46K 0.01%
931
+659
+242% +$32.6K
COF icon
470
Capital One
COF
$142B
$45K 0.01%
550
-1,800
-77% -$147K
CPRI icon
471
Capri Holdings
CPRI
$2.54B
$45K 0.01%
603
+278
+86% +$20.7K
PHG icon
472
Philips
PHG
$26.7B
$45K 0.01%
2,134
RCL icon
473
Royal Caribbean
RCL
$93.8B
$45K 0.01%
540
IDTI
474
DELISTED
Integrated Device Technology I
IDTI
$45K 0.01%
2,280
HGT
475
DELISTED
Hugoton Royalty Trust
HGT
$45K 0.01%
5,369