SG

Societe Generale Portfolio holdings

AUM $13B
This Quarter Return
+3.48%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$13B
AUM Growth
Cap. Flow
+$12.9B
Cap. Flow %
98.86%
Top 10 Hldgs %
32.39%
Holding
2,127
New
2,036
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Consumer Discretionary 8.21%
2 Technology 8.11%
3 Consumer Staples 5.51%
4 Financials 5.41%
5 Healthcare 5.32%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
WEX icon
451
WEX
WEX
$5.87B
$3.65M 0.03%
+41,149
New +$3.65M
MBT
452
DELISTED
Mobile TeleSystems Public Joint Stock Company American Depositary Shares (Each representing 2 Shares
MBT
$3.63M 0.03%
+438,325
New +$3.63M
GPRO icon
453
GoPro
GPRO
$236M
$3.61M 0.03%
+334,226
New +$3.61M
EPD icon
454
Enterprise Products Partners
EPD
$68.6B
$3.56M 0.03%
+121,594
New +$3.56M
AIZ icon
455
Assurant
AIZ
$10.7B
$3.55M 0.03%
+41,110
New +$3.55M
ANTE
456
AirNet Technology Inc. Ordinary Share
ANTE
$603M
$3.55M 0.03%
+51,702
New +$3.55M
NOC icon
457
Northrop Grumman
NOC
$83.2B
$3.54M 0.03%
+15,937
New +$3.54M
GMF icon
458
SPDR S&P Emerging Asia Pacific ETF
GMF
$378M
$3.54M 0.03%
+47,286
New +$3.54M
SPIB icon
459
SPDR Portfolio Intermediate Term Corporate Bond ETF
SPIB
$10.7B
$3.53M 0.03%
+101,185
New +$3.53M
JBL icon
460
Jabil
JBL
$22.5B
$3.53M 0.03%
+190,975
New +$3.53M
IJT icon
461
iShares S&P Small-Cap 600 Growth ETF
IJT
$6.28B
$3.53M 0.03%
+54,916
New +$3.53M
SMDV icon
462
ProShares Russell 2000 Dividend Growers ETF
SMDV
$675M
$3.52M 0.03%
+75,000
New +$3.52M
CCL icon
463
Carnival Corp
CCL
$42.8B
$3.52M 0.03%
+79,567
New +$3.52M
EA icon
464
Electronic Arts
EA
$42.2B
$3.51M 0.02%
+46,375
New +$3.51M
TCOM icon
465
Trip.com Group
TCOM
$47.6B
$3.51M 0.02%
+85,269
New +$3.51M
OMI icon
466
Owens & Minor
OMI
$434M
$3.51M 0.02%
+93,912
New +$3.51M
ORLY icon
467
O'Reilly Automotive
ORLY
$89B
$3.49M 0.02%
+193,350
New +$3.49M
TUR icon
468
iShares MSCI Turkey ETF
TUR
$165M
$3.49M 0.02%
+88,086
New +$3.49M
EOG icon
469
EOG Resources
EOG
$64.4B
$3.48M 0.02%
+41,747
New +$3.48M
ALXN
470
DELISTED
Alexion Pharmaceuticals Inc
ALXN
$3.46M 0.02%
+29,653
New +$3.46M
ACC
471
DELISTED
American Campus Communities, Inc.
ACC
$3.45M 0.02%
+65,164
New +$3.45M
PANW icon
472
Palo Alto Networks
PANW
$130B
$3.42M 0.02%
+167,190
New +$3.42M
EWUS icon
473
iShares MSCI United Kingdom Small-Cap ETF
EWUS
$40.2M
$3.39M 0.02%
+100,000
New +$3.39M
FL icon
474
Foot Locker
FL
$2.29B
$3.39M 0.02%
+61,814
New +$3.39M
CHKP icon
475
Check Point Software Technologies
CHKP
$20.7B
$3.37M 0.02%
+42,309
New +$3.37M