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
NATI
1101
DELISTED
National Instruments Corp
NATI
$1.04M 0.01%
+37,957
New +$1.04M
IPGP icon
1102
IPG Photonics
IPGP
$3.38B
$1.04M 0.01%
+12,934
New +$1.04M
MRC icon
1103
MRC Global
MRC
$1.23B
$1.04M 0.01%
+72,819
New +$1.04M
EQY
1104
DELISTED
Equity One
EQY
$1.03M 0.01%
+32,090
New +$1.03M
GEN icon
1105
Gen Digital
GEN
$17.9B
$1.03M 0.01%
+49,950
New +$1.03M
DF
1106
DELISTED
Dean Foods Company
DF
$1.03M 0.01%
+56,682
New +$1.03M
ETSY icon
1107
Etsy
ETSY
$5.84B
$1.02M 0.01%
+106,757
New +$1.02M
LSTR icon
1108
Landstar System
LSTR
$4.46B
$1.02M 0.01%
+14,871
New +$1.02M
RZG icon
1109
Invesco S&P SmallCap 600 Pure Growth ETF
RZG
$103M
$1.02M 0.01%
+37,335
New +$1.02M
FICO icon
1110
Fair Isaac
FICO
$37.1B
$1.02M 0.01%
+9,024
New +$1.02M
BOH icon
1111
Bank of Hawaii
BOH
$2.7B
$1.02M 0.01%
+14,788
New +$1.02M
PRXL
1112
DELISTED
Parexel International Corp
PRXL
$1.02M 0.01%
+16,160
New +$1.02M
VMI icon
1113
Valmont Industries
VMI
$7.37B
$1.02M 0.01%
+7,501
New +$1.02M
GRID icon
1114
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index Fund
GRID
$3.33B
$1.01M 0.01%
+29,000
New +$1.01M
IPG icon
1115
Interpublic Group of Companies
IPG
$9.67B
$1.01M 0.01%
+43,868
New +$1.01M
EXPR
1116
DELISTED
Express, Inc.
EXPR
$1.01M 0.01%
+3,486
New +$1.01M
GWR
1117
DELISTED
Genesee & Wyoming Inc.
GWR
$1.01M 0.01%
+17,171
New +$1.01M
KATE
1118
DELISTED
Kate Spade & Company
KATE
$1.01M 0.01%
+49,086
New +$1.01M
DFT
1119
DELISTED
DuPont Fabros Technology Inc.
DFT
$1.01M 0.01%
+21,259
New +$1.01M
AMSG
1120
DELISTED
Amsurg Corp
AMSG
$1.01M 0.01%
+13,024
New +$1.01M
RHT
1121
DELISTED
Red Hat Inc
RHT
$1.01M 0.01%
+13,916
New +$1.01M
LLL
1122
DELISTED
L3 Technologies, Inc.
LLL
$1.01M 0.01%
+6,864
New +$1.01M
CNO icon
1123
CNO Financial Group
CNO
$3.8B
$1.01M 0.01%
+57,620
New +$1.01M
UFS
1124
DELISTED
DOMTAR CORPORATION (New)
UFS
$1.01M 0.01%
+28,745
New +$1.01M
SXT icon
1125
Sensient Technologies
SXT
$4.52B
$1.01M 0.01%
+14,142
New +$1.01M