SEC

Seven Eight Capital Portfolio holdings

AUM $1.11B
1-Year Return 29.51%
This Quarter Return
+2.49%
1 Year Return
+29.51%
3 Year Return
+13.62%
5 Year Return
+117.76%
10 Year Return
+239.6%
AUM
$147M
AUM Growth
+$32.2M
Cap. Flow
+$30M
Cap. Flow %
20.36%
Top 10 Hldgs %
9.09%
Holding
792
New
268
Increased
158
Reduced
111
Closed
249

Sector Composition

1 Industrials 14.74%
2 Financials 14.48%
3 Consumer Discretionary 12.56%
4 Technology 12.5%
5 Healthcare 11.39%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AWAY
626
DELISTED
HOMEAWAY INC COM
AWAY
-5,724
Closed -$152K
CNW
627
DELISTED
CON-WAY INC.
CNW
-10,350
Closed -$491K
HCC
628
DELISTED
HCC INSURANCES HOLDINGS INC
HCC
-1,200
Closed -$93K
THOR
629
DELISTED
THORATEC CORPORATION
THOR
-7,700
Closed -$487K
TRAK
630
DELISTED
DEALERTRACK TECHNOLOGIES, INC. COM STK
TRAK
-8,600
Closed -$543K
KYTH
631
DELISTED
KYTHERA BIOPHARMACEUTICALS, INC COM
KYTH
-1,200
Closed -$90K
CAVM
632
DELISTED
Cavium, Inc.
CAVM
-4,100
Closed -$252K
XL
633
DELISTED
XL Group Ltd.
XL
-9,405
Closed -$342K
TYC
634
DELISTED
TYCO INTL PLC COM SHS (IRL)
TYC
-21,090
Closed -$739K
CEO
635
DELISTED
CNOOC Limited
CEO
-600
Closed -$62K
SHPG
636
DELISTED
Shire pic
SHPG
-1,569
Closed -$322K
WNR
637
DELISTED
Western Refining Inc
WNR
-2,804
Closed -$124K
QUNR
638
DELISTED
Qunar Cayman Islands Limited
QUNR
-1,200
Closed -$36K
DWRE
639
DELISTED
DEMANDWARE INC COM STK (DE)
DWRE
-400
Closed -$21K
KNGT
640
DELISTED
KNIGHT TRANSPORTATION INC
KNGT
-14,100
Closed -$338K
DO
641
DELISTED
Diamond Offshore Drilling
DO
-7,569
Closed -$131K
AZPN
642
DELISTED
ASPEN TECHNOLOGY INC
AZPN
-300
Closed -$11K
IMS
643
DELISTED
IMS HEALTH HLDGS INC COM STK (DE)
IMS
-300
Closed -$9K
CAT icon
644
Caterpillar
CAT
$198B
-200
Closed -$13K
CCJ icon
645
Cameco
CCJ
$33B
-4,800
Closed -$58K
CHD icon
646
Church & Dwight Co
CHD
$23.3B
-6,800
Closed -$285K
CHRD icon
647
Chord Energy
CHRD
$5.92B
-68
Closed -$1K
CI icon
648
Cigna
CI
$81.5B
-900
Closed -$122K
CLDX icon
649
Celldex Therapeutics
CLDX
$1.52B
-2,000
Closed -$316K
CME icon
650
CME Group
CME
$94.4B
-2,900
Closed -$269K