SCA

Secor Capital Advisors Portfolio holdings

AUM $414M
This Quarter Return
+12.11%
1 Year Return
+4.55%
3 Year Return
+36.85%
5 Year Return
+33.52%
10 Year Return
AUM
$414M
AUM Growth
+$414M
Cap. Flow
-$209M
Cap. Flow %
-50.53%
Top 10 Hldgs %
13.35%
Holding
601
New
181
Increased
56
Reduced
89
Closed
252

Sector Composition

1 Technology 17.56%
2 Industrials 12.47%
3 Consumer Discretionary 11.43%
4 Real Estate 11.29%
5 Financials 10.29%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TWI icon
226
Titan International
TWI
$555M
$523K 0.11%
87,652
-54,488
-38% -$325K
MRO
227
DELISTED
Marathon Oil Corporation
MRO
$523K 0.11%
+31,307
New +$523K
DOCU icon
228
DocuSign
DOCU
$14.9B
$520K 0.11%
+10,035
New +$520K
MDRX
229
DELISTED
Veradigm Inc. Common Stock
MDRX
$516K 0.11%
+54,080
New +$516K
WWE
230
DELISTED
World Wrestling Entertainment
WWE
$516K 0.11%
+5,950
New +$516K
GOOD
231
Gladstone Commercial Corp
GOOD
$622M
$515K 0.11%
+24,964
New +$515K
CRCM
232
DELISTED
CARE.COM, INC.
CRCM
$511K 0.11%
25,860
+8,004
+45% +$158K
WPC icon
233
W.P. Carey
WPC
$14.5B
$505K 0.1%
+6,444
New +$505K
CTRL
234
DELISTED
Control4 Corporation
CTRL
$494K 0.1%
29,169
+3,433
+13% +$58.1K
ACIA
235
DELISTED
Acacia Communications, Inc. Common Stock
ACIA
$493K 0.1%
+8,604
New +$493K
TRGP icon
236
Targa Resources
TRGP
$35.6B
$486K 0.1%
11,963
-161,181
-93% -$6.55M
TPR icon
237
Tapestry
TPR
$21.4B
$480K 0.1%
+14,785
New +$480K
GIC icon
238
Global Industrial
GIC
$1.42B
$476K 0.1%
21,024
-20,509
-49% -$464K
JBGS
239
JBG SMITH
JBGS
$1.31B
$473K 0.1%
+11,436
New +$473K
CIT
240
DELISTED
CIT Group Inc.
CIT
$469K 0.1%
+9,783
New +$469K
CXP
241
DELISTED
COLUMBIA PROPERTY TRUST, INC.
CXP
$468K 0.1%
+20,796
New +$468K
NRE
242
DELISTED
NorthStar Realty Europe Corp.
NRE
$468K 0.1%
+26,972
New +$468K
KBH icon
243
KB Home
KBH
$4.28B
$461K 0.1%
+19,072
New +$461K
ALTR
244
DELISTED
Altair Engineering Inc. Class A Common Stock
ALTR
$461K 0.1%
+12,518
New +$461K
NXST icon
245
Nexstar Media Group
NXST
$6.09B
$460K 0.09%
+4,241
New +$460K
QADA
246
DELISTED
QAD Inc.
QADA
$458K 0.09%
10,651
-9,870
-48% -$424K
W icon
247
Wayfair
W
$9.96B
$455K 0.09%
3,064
-3,127
-51% -$464K
DCPH
248
DELISTED
Deciphera Pharmaceuticals, Inc. Common Stock
DCPH
$451K 0.09%
19,428
+7,382
+61% +$171K
DRI icon
249
Darden Restaurants
DRI
$24.2B
$448K 0.09%
3,712
-41,048
-92% -$4.95M
CSL icon
250
Carlisle Companies
CSL
$16.1B
$447K 0.09%
+3,648
New +$447K