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
FE icon
576
FirstEnergy
FE
$25B
$2.77M 0.02%
+79,367
New +$2.77M
EDZ icon
577
Direxion Daily Emerging Markets Bear 3x Shares
EDZ
$12.3M
$2.76M 0.02%
+17,900
New +$2.76M
PWR icon
578
Quanta Services
PWR
$55.6B
$2.76M 0.02%
+119,249
New +$2.76M
P
579
DELISTED
Pandora Media Inc
P
$2.76M 0.02%
+221,459
New +$2.76M
INFY icon
580
Infosys
INFY
$70.5B
$2.75M 0.02%
+308,128
New +$2.75M
SJM icon
581
J.M. Smucker
SJM
$11.8B
$2.75M 0.02%
+18,015
New +$2.75M
TFCF
582
DELISTED
Twenty-First Century Fox, Inc. Class B
TFCF
$2.74M 0.02%
+100,671
New +$2.74M
ETP
583
DELISTED
Energy Transfer Partners L.p.
ETP
$2.74M 0.02%
+72,012
New +$2.74M
CKEC
584
DELISTED
Carmike Cinemas Inc
CKEC
$2.74M 0.02%
+90,897
New +$2.74M
CLX icon
585
Clorox
CLX
$15.4B
$2.74M 0.02%
+19,780
New +$2.74M
NVR icon
586
NVR
NVR
$22.9B
$2.73M 0.02%
+1,534
New +$2.73M
DANG
587
DELISTED
E-COMMERCE CHINA DANGDANG INC SPNSRD ADS REP COM CL A (CYM)
DANG
$2.73M 0.02%
+451,396
New +$2.73M
CBOE icon
588
Cboe Global Markets
CBOE
$24.3B
$2.73M 0.02%
+40,985
New +$2.73M
BR icon
589
Broadridge
BR
$29.6B
$2.72M 0.02%
+41,781
New +$2.72M
TMO icon
590
Thermo Fisher Scientific
TMO
$182B
$2.7M 0.02%
+18,282
New +$2.7M
WES
591
DELISTED
Western Gas Partners Lp
WES
$2.7M 0.02%
+53,564
New +$2.7M
VPL icon
592
Vanguard FTSE Pacific ETF
VPL
$7.87B
$2.69M 0.02%
+48,248
New +$2.69M
RSPM icon
593
Invesco S&P 500 Equal Weight Materials ETF
RSPM
$162M
$2.69M 0.02%
+160,615
New +$2.69M
VOD icon
594
Vodafone
VOD
$28.6B
$2.67M 0.02%
+86,575
New +$2.67M
ECL icon
595
Ecolab
ECL
$76.8B
$2.66M 0.02%
+22,466
New +$2.66M
STZ icon
596
Constellation Brands
STZ
$25.7B
$2.66M 0.02%
+16,065
New +$2.66M
SPLS
597
DELISTED
Staples Inc
SPLS
$2.66M 0.02%
+308,203
New +$2.66M
SON icon
598
Sonoco
SON
$4.51B
$2.66M 0.02%
+53,465
New +$2.66M
STIP icon
599
iShares 0-5 Year TIPS Bond ETF
STIP
$12.7B
$2.65M 0.02%
+26,132
New +$2.65M
FDT icon
600
First Trust Developed Markets ex-US AlphaDEX Fund
FDT
$620M
$2.65M 0.02%
+58,849
New +$2.65M