SC

Sepio Capital Portfolio holdings

AUM $1.41B
1-Year Return 21.38%
This Quarter Return
-10.51%
1 Year Return
+21.38%
3 Year Return
+75.91%
5 Year Return
+119.81%
10 Year Return
AUM
$1.33B
AUM Growth
Cap. Flow
+$1.33B
Cap. Flow %
100%
Top 10 Hldgs %
51.02%
Holding
301
New
298
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Healthcare 22.59%
2 Financials 8.92%
3 Technology 8.67%
4 Consumer Discretionary 7.24%
5 Communication Services 6.7%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AL icon
201
Air Lease Corp
AL
$7.12B
$374K 0.03%
+12,379
New +$374K
MDLZ icon
202
Mondelez International
MDLZ
$79.9B
$371K 0.03%
+9,265
New +$371K
NBL
203
DELISTED
Noble Energy, Inc.
NBL
$370K 0.03%
+19,736
New +$370K
SAP icon
204
SAP
SAP
$313B
$356K 0.03%
+3,574
New +$356K
ZAGG
205
DELISTED
ZAGG Inc Common Stock (Delaware)
ZAGG
$350K 0.03%
+35,793
New +$350K
BBSI icon
206
Barrett Business Services
BBSI
$1.24B
$346K 0.03%
+24,208
New +$346K
NWPX icon
207
NWPX Infrastructure, Inc. Common Stock
NWPX
$504M
$346K 0.03%
+14,853
New +$346K
TUR icon
208
iShares MSCI Turkey ETF
TUR
$165M
$346K 0.03%
+14,100
New +$346K
SDY icon
209
SPDR S&P Dividend ETF
SDY
$20.5B
$343K 0.02%
+3,835
New +$343K
BGSF icon
210
BGSF Inc
BGSF
$68.6M
$342K 0.02%
+16,549
New +$342K
CMTL icon
211
Comtech Telecommunications
CMTL
$65.3M
$339K 0.02%
+13,937
New +$339K
SCI icon
212
Service Corp International
SCI
$10.9B
$337K 0.02%
+8,374
New +$337K
SRE icon
213
Sempra
SRE
$52.9B
$336K 0.02%
+6,208
New +$336K
AMG icon
214
Affiliated Managers Group
AMG
$6.54B
$335K 0.02%
+3,440
New +$335K
ESQ icon
215
Esquire Financial Holdings
ESQ
$828M
$327K 0.02%
+15,079
New +$327K
PAMT
216
PAMT CORP Common Stock
PAMT
$254M
$318K 0.02%
+32,244
New +$318K
CAI
217
DELISTED
CAI International, Inc.
CAI
$316K 0.02%
+13,614
New +$316K
UCTT icon
218
Ultra Clean Holdings
UCTT
$1.11B
$312K 0.02%
+36,890
New +$312K
FSK icon
219
FS KKR Capital
FSK
$5.08B
$311K 0.02%
+15,000
New +$311K
BX icon
220
Blackstone
BX
$133B
$310K 0.02%
+10,410
New +$310K
AXTI icon
221
AXT Inc
AXTI
$143M
$300K 0.02%
+68,960
New +$300K
BK icon
222
Bank of New York Mellon
BK
$73.1B
$298K 0.02%
+6,330
New +$298K
CRHM
223
DELISTED
CRH Medical Corporation
CRHM
$298K 0.02%
+97,844
New +$298K
MMM icon
224
3M
MMM
$82.7B
$293K 0.02%
+1,841
New +$293K
BOCH
225
DELISTED
Bank of Commerce Holdings (CA)
BOCH
$293K 0.02%
+26,704
New +$293K