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
VGT icon
1026
Vanguard Information Technology ETF
VGT
$103B
$1.21M 0.01%
+11,271
New +$1.21M
UNIT
1027
Uniti Group
UNIT
$1.73B
$1.21M 0.01%
+41,747
New +$1.21M
NUS icon
1028
Nu Skin
NUS
$587M
$1.19M 0.01%
+25,830
New +$1.19M
WSO icon
1029
Watsco
WSO
$15.4B
$1.19M 0.01%
+8,469
New +$1.19M
FRAN
1030
DELISTED
Francesca's Holdings Corporation
FRAN
$1.19M 0.01%
+8,970
New +$1.19M
TVTY
1031
DELISTED
Tivity Health, Inc. Common Stock
TVTY
$1.19M 0.01%
+102,830
New +$1.19M
GUNR icon
1032
FlexShares Global Upstream Natural Resources Index Fund
GUNR
$5.06B
$1.18M 0.01%
+44,695
New +$1.18M
FHI icon
1033
Federated Hermes
FHI
$4.19B
$1.18M 0.01%
+40,886
New +$1.18M
JOYY
1034
JOYY Inc. American Depositary Shares
JOYY
$3.19B
$1.18M 0.01%
+34,759
New +$1.18M
PRA icon
1035
ProAssurance
PRA
$1.22B
$1.18M 0.01%
+21,952
New +$1.18M
DVYA icon
1036
iShares Asia/Pacific Dividend ETF
DVYA
$47.4M
$1.17M 0.01%
+27,433
New +$1.17M
RGLD icon
1037
Royal Gold
RGLD
$12.4B
$1.17M 0.01%
+16,285
New +$1.17M
DBJP icon
1038
Xtrackers MSCI Japan Hedged Equity ETF
DBJP
$409M
$1.17M 0.01%
+37,983
New +$1.17M
CST
1039
DELISTED
CST Brands, Inc.
CST
$1.17M 0.01%
+27,136
New +$1.17M
TDY icon
1040
Teledyne Technologies
TDY
$26.2B
$1.17M 0.01%
+11,760
New +$1.17M
CY
1041
DELISTED
Cypress Semiconductor
CY
$1.16M 0.01%
+110,284
New +$1.16M
MUSA icon
1042
Murphy USA
MUSA
$7.47B
$1.16M 0.01%
+15,672
New +$1.16M
GOVI icon
1043
Invesco Equal Weight 0-30 Year Treasury ETF
GOVI
$983M
$1.16M 0.01%
+33,000
New +$1.16M
IQDF icon
1044
FlexShares International Quality Dividend Index Fund
IQDF
$810M
$1.16M 0.01%
+52,818
New +$1.16M
TARO
1045
DELISTED
Taro Pharmaceutical Industries Ltd.
TARO
$1.16M 0.01%
+7,940
New +$1.16M
SEF icon
1046
ProShares Short Financials
SEF
$9.17M
$1.16M 0.01%
+8,565
New +$1.16M
AVNT icon
1047
Avient
AVNT
$3.33B
$1.15M 0.01%
+32,499
New +$1.15M
HHH icon
1048
Howard Hughes
HHH
$4.86B
$1.15M 0.01%
+10,509
New +$1.15M
ITGR icon
1049
Integer Holdings
ITGR
$3.55B
$1.14M 0.01%
+36,838
New +$1.14M
FAST icon
1050
Fastenal
FAST
$54.4B
$1.14M 0.01%
+102,436
New +$1.14M