SCA

SAC Capital Advisors Portfolio holdings

AUM $17.5B
1-Year Return 27.84%
This Quarter Return
+2.51%
1 Year Return
+27.84%
3 Year Return
5 Year Return
10 Year Return
AUM
$17.5B
AUM Growth
+$2.39B
Cap. Flow
+$1.59B
Cap. Flow %
9.04%
Top 10 Hldgs %
11.54%
Holding
2,111
New
408
Increased
628
Reduced
610
Closed
447

Sector Composition

1 Consumer Discretionary 18.43%
2 Energy 14.81%
3 Communication Services 11.81%
4 Industrials 10.14%
5 Technology 9.15%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HON icon
151
Honeywell
HON
$136B
$32.6M 0.17%
368,168
+316,363
+611% +$28M
MAN icon
152
ManpowerGroup
MAN
$1.91B
$32.5M 0.17%
411,768
+201,487
+96% +$15.9M
FMC icon
153
FMC
FMC
$4.63B
$32.5M 0.17%
488,780
+32,736
+7% +$2.17M
CLDX icon
154
Celldex Therapeutics
CLDX
$1.51B
$32.1M 0.17%
121,242
-112,524
-48% -$29.8M
EMN icon
155
Eastman Chemical
EMN
$7.87B
$32M 0.17%
371,448
+108,437
+41% +$9.35M
CI icon
156
Cigna
CI
$81.6B
$32M 0.17%
381,772
+377,568
+8,981% +$31.6M
PII icon
157
Polaris
PII
$3.28B
$31.8M 0.17%
227,735
+225,986
+12,921% +$31.6M
MSTR icon
158
Strategy Inc Common Stock Class A
MSTR
$91.4B
$31.7M 0.16%
2,751,190
+1,803,000
+190% +$20.8M
CLVS
159
DELISTED
Clovis Oncology, Inc.
CLVS
$31.7M 0.16%
458,238
-708,462
-61% -$49.1M
CTRX
160
DELISTED
CATAMARAN CORP COM STK (CDA)
CTRX
$31.2M 0.16%
697,117
-967,869
-58% -$43.3M
HDS
161
DELISTED
HD Supply Holdings, Inc.
HDS
$31.2M 0.16%
1,192,731
-154,785
-11% -$4.05M
CPRI icon
162
Capri Holdings
CPRI
$2.56B
$31.2M 0.16%
334,128
+159,974
+92% +$14.9M
RS icon
163
Reliance Steel & Aluminium
RS
$15.6B
$30.9M 0.16%
437,204
+422,730
+2,921% +$29.9M
HLT icon
164
Hilton Worldwide
HLT
$64.8B
$30.7M 0.16%
460,464
+439,839
+2,133% +$29.3M
BHP icon
165
BHP
BHP
$138B
$30.5M 0.16%
+531,603
New +$30.5M
FRGI
166
DELISTED
Fiesta Restaurant Group, Inc.
FRGI
$30.4M 0.16%
667,725
+405,648
+155% +$18.5M
INTU icon
167
Intuit
INTU
$189B
$30.2M 0.16%
388,662
+355,523
+1,073% +$27.6M
ULTA icon
168
Ulta Beauty
ULTA
$23.2B
$30.1M 0.16%
308,570
-141,165
-31% -$13.8M
LIN
169
DELISTED
LIN MEDIA LLC CLASS A COM
LIN
$29.3M 0.15%
1,105,934
+446,871
+68% +$11.8M
LL
170
DELISTED
LL Flooring Holdings, Inc.
LL
$29.1M 0.15%
310,722
-404,651
-57% -$38M
PSX icon
171
Phillips 66
PSX
$52.6B
$29M 0.15%
376,313
-257,488
-41% -$19.8M
GMCR
172
DELISTED
KEURIG GREEN MTN INC
GMCR
$29M 0.15%
274,324
+254,141
+1,259% +$26.8M
DLTR icon
173
Dollar Tree
DLTR
$20.5B
$28.8M 0.15%
551,254
-492,123
-47% -$25.7M
ACAD icon
174
Acadia Pharmaceuticals
ACAD
$4.26B
$28.1M 0.15%
1,153,694
+982,634
+574% +$23.9M
WMGI
175
DELISTED
Wright Medical Group Inc
WMGI
$28M 0.15%
901,475
-33,045
-4% -$1.03M