SPC

Sigma Planning Corp Portfolio holdings

AUM $3.33B
1-Year Return 17.21%
This Quarter Return
+1.66%
1 Year Return
+17.21%
3 Year Return
+65.27%
5 Year Return
+117.04%
10 Year Return
+263.51%
AUM
$755M
AUM Growth
-$1.57M
Cap. Flow
-$7.24M
Cap. Flow %
-0.96%
Top 10 Hldgs %
17.02%
Holding
817
New
100
Increased
305
Reduced
321
Closed
66
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
QAI icon
626
NYLI Hedge Multi-Strategy Tracker ETF
QAI
$703M
$231K 0.03%
7,712
-883
-10% -$26.4K
MNR
627
DELISTED
Monmouth Real Estate Investment Corp
MNR
$230K 0.03%
20,711
-9
-0% -$100
VFC icon
628
VF Corp
VFC
$5.86B
$229K 0.03%
3,236
-325
-9% -$23K
HYB
629
DELISTED
New America High Income Fund, Inc.
HYB
$229K 0.03%
25,276
+2,755
+12% +$25K
EPR icon
630
EPR Properties
EPR
$4.05B
$228K 0.03%
3,791
MYGN icon
631
Myriad Genetics
MYGN
$615M
$227K 0.03%
6,415
+450
+8% +$15.9K
SOXS icon
632
Direxion Daily Semiconductor Bear 3X Shares
SOXS
$1.43B
0
-$227K
CHK
633
DELISTED
Chesapeake Energy Corporation
CHK
$227K 0.03%
80
-17
-18% -$48.2K
SIRI icon
634
SiriusXM
SIRI
$8.1B
$226K 0.03%
5,921
-81
-1% -$3.09K
UHT
635
Universal Health Realty Income Trust
UHT
$574M
$226K 0.03%
4,019
-160
-4% -$9K
SCCO icon
636
Southern Copper
SCCO
$83.6B
$224K 0.03%
8,065
-2,708
-25% -$75.2K
YHOO
637
DELISTED
Yahoo Inc
YHOO
$223K 0.03%
5,020
-4,460
-47% -$198K
CI icon
638
Cigna
CI
$81.5B
$220K 0.03%
+1,700
New +$220K
RHP icon
639
Ryman Hospitality Properties
RHP
$6.35B
$220K 0.03%
+3,608
New +$220K
SGOL icon
640
abrdn Physical Gold Shares ETF
SGOL
$5.72B
$220K 0.03%
19,000
-2,790
-13% -$32.3K
BB icon
641
BlackBerry
BB
$2.31B
$219K 0.03%
24,519
-263
-1% -$2.35K
MWE
642
DELISTED
MARKWEST ENERGY PARTNERS, LP
MWE
$219K 0.03%
3,314
-300
-8% -$19.8K
WTMF icon
643
WisdomTree Managed Futures Strategy Fund
WTMF
$166M
$218K 0.03%
4,933
-2,121
-30% -$93.7K
RBS.PRP
644
DELISTED
Royal Bank of Scotland Group Plc (The) ADR representing Pref
RBS.PRP
$218K 0.03%
8,850
+250
+3% +$6.16K
MORL
645
DELISTED
ETRACS Monthly Pay 2xLeveraged Mortgage REIT ETN
MORL
$218K 0.03%
+10,500
New +$218K
YUM icon
646
Yum! Brands
YUM
$40.1B
$217K 0.03%
+3,836
New +$217K
BSJI
647
DELISTED
Invesco BulletShares 2018 High Yield Corporate Bond ETF
BSJI
$217K 0.03%
+8,361
New +$217K
CYBX
648
DELISTED
CYBERONICS INC
CYBX
$217K 0.03%
3,345
-260
-7% -$16.9K
GDX icon
649
VanEck Gold Miners ETF
GDX
$19.9B
$216K 0.03%
+11,831
New +$216K
TLTD icon
650
FlexShares Morningstar Developed Markets ex-US Factor Tilt Index Fund
TLTD
$559M
$216K 0.03%
3,587
-1,006
-22% -$60.6K