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
EPAM icon
101
EPAM Systems
EPAM
$9.82B
$1.36M 0.28% +8,047 New +$1.36M
CDP icon
102
COPT Defense Properties
CDP
$3.25B
$1.34M 0.28% +49,249 New +$1.34M
CAKE icon
103
Cheesecake Factory
CAKE
$3.06B
$1.34M 0.28% 27,343 -111,956 -80% -$5.48M
ONTO icon
104
Onto Innovation
ONTO
$5.19B
$1.32M 0.27% 42,710 -4,062 -9% -$125K
TMHC icon
105
Taylor Morrison
TMHC
$6.66B
$1.31M 0.27% +73,596 New +$1.31M
AAN.A
106
DELISTED
AARON'S INC CL-A
AAN.A
$1.28M 0.26% +24,405 New +$1.28M
HLNE icon
107
Hamilton Lane
HLNE
$6.71B
$1.28M 0.26% 29,367 -31,791 -52% -$1.39M
CBPX
108
DELISTED
CONTINENTAL BUILDING PRODUCTS, INC.
CBPX
$1.27M 0.26% 51,215 -16,315 -24% -$405K
TPCO
109
DELISTED
Tribune Publishing Company Common Stock
TPCO
$1.26M 0.26% 106,693 +27,399 +35% +$323K
VBTX icon
110
Veritex Holdings
VBTX
$1.88B
$1.25M 0.26% +51,709 New +$1.25M
ARCH
111
DELISTED
Arch Resources, Inc.
ARCH
$1.25M 0.26% 13,714 +1,594 +13% +$146K
DAN icon
112
Dana Inc
DAN
$2.64B
$1.25M 0.26% +70,454 New +$1.25M
HTO
113
H2O America Common Stock
HTO
$1.78B
$1.24M 0.26% 20,254 +1,561 +8% +$95.9K
FLOW
114
DELISTED
SPX FLOW, Inc.
FLOW
$1.24M 0.26% +38,988 New +$1.24M
CALX icon
115
Calix
CALX
$3.88B
$1.24M 0.26% 160,740 +110,102 +217% +$848K
ACRE
116
Ares Commercial Real Estate
ACRE
$260M
$1.2M 0.25% +78,919 New +$1.2M
TNL icon
117
Travel + Leisure Co
TNL
$4.11B
$1.2M 0.25% +29,566 New +$1.2M
NSIT icon
118
Insight Enterprises
NSIT
$4.1B
$1.19M 0.25% 21,649 +16,334 +307% +$899K
ELME
119
Elme Communities
ELME
$1.51B
$1.17M 0.24% +41,141 New +$1.17M
CY
120
DELISTED
Cypress Semiconductor
CY
$1.17M 0.24% 78,224 +10,929 +16% +$163K
FBNC icon
121
First Bancorp
FBNC
$2.26B
$1.12M 0.23% +32,124 New +$1.12M
FELE icon
122
Franklin Electric
FELE
$4.35B
$1.12M 0.23% +21,886 New +$1.12M
TGNA icon
123
TEGNA Inc
TGNA
$3.41B
$1.1M 0.23% 78,047 +38,331 +97% +$540K
RRR icon
124
Red Rock Resorts
RRR
$3.68B
$1.1M 0.23% +42,400 New +$1.1M
EIG icon
125
Employers Holdings
EIG
$1.02B
$1.07M 0.22% 26,761 -80,747 -75% -$3.24M