SNC

Stifel Nicolaus & Co Portfolio holdings

AUM $6B
This Quarter Return
+5.76%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$6B
AUM Growth
+$580M
Cap. Flow
+$329M
Cap. Flow %
5.48%
Top 10 Hldgs %
16.3%
Holding
1,571
New
196
Increased
668
Reduced
539
Closed
103

Sector Composition

1 Technology 11.2%
2 Energy 8.81%
3 Healthcare 8.05%
4 Industrials 7.54%
5 Consumer Staples 6.76%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
PVR
576
DELISTED
PVR PARTNERS L P COM UNIT REPTG LTD PARTNERSHIP INT
PVR
$1.28M 0.02%
55,188
-958
-2% -$22.1K
EINC icon
577
VanEck Energy Income ETF
EINC
$71.4M
$1.28M 0.02%
4,659
+2,828
+154% +$774K
HCC
578
DELISTED
HCC INSURANCES HOLDINGS INC
HCC
$1.26M 0.02%
28,812
-886
-3% -$38.8K
UL icon
579
Unilever
UL
$154B
$1.26M 0.02%
32,702
+18,005
+123% +$695K
GEO icon
580
The GEO Group
GEO
$3.01B
$1.25M 0.02%
56,541
+11,340
+25% +$251K
VTA
581
DELISTED
INVESCO DYNAMIC CREDIT OPPORTUNITIES FUND
VTA
$1.25M 0.02%
97,232
-16,245
-14% -$209K
DIA icon
582
SPDR Dow Jones Industrial Average ETF Trust
DIA
$39.2B
$1.25M 0.02%
8,275
-613
-7% -$92.6K
AMJ
583
DELISTED
JP Morgan Alerian MLP Index ETN 5/24/24
AMJ
$1.25M 0.02%
27,976
-2,878
-9% -$128K
JMF
584
DELISTED
NUVEEN ENERGY MLP TOTAL RETURN FUND
JMF
$1.24M 0.02%
66,411
+1,855
+3% +$34.7K
TDIV icon
585
First Trust NASDAQ Technology Dividend Index Fund
TDIV
$3.69B
$1.24M 0.02%
55,118
+4,558
+9% +$103K
TDF
586
Templeton Dragon Fund
TDF
$287M
$1.24M 0.02%
47,515
+332
+0.7% +$8.64K
PIZ icon
587
Invesco Dorsey Wright Developed Markets Momentum ETF
PIZ
$431M
$1.23M 0.02%
49,221
-62,711
-56% -$1.57M
PRU icon
588
Prudential Financial
PRU
$37.2B
$1.23M 0.02%
15,774
+4,090
+35% +$319K
DOC icon
589
Healthpeak Properties
DOC
$12.5B
$1.22M 0.02%
32,820
+230
+0.7% +$8.58K
IWR icon
590
iShares Russell Mid-Cap ETF
IWR
$44.5B
$1.22M 0.02%
35,076
-35,348
-50% -$1.23M
ICF icon
591
iShares Select U.S. REIT ETF
ICF
$1.91B
$1.22M 0.02%
31,676
-21,900
-41% -$842K
BCIC
592
BCP Investment Corporation Common Stock
BCIC
$162M
$1.22M 0.02%
13,592
+3,114
+30% +$279K
ALL icon
593
Allstate
ALL
$52.7B
$1.21M 0.02%
24,032
+979
+4% +$49.5K
LRCX icon
594
Lam Research
LRCX
$136B
$1.21M 0.02%
237,170
+71,230
+43% +$365K
SODA
595
DELISTED
SodaStream International Ltd
SODA
$1.21M 0.02%
19,471
-1,221
-6% -$76.1K
CEM
596
DELISTED
ClearBridge MLP and Midstream Fund Inc.
CEM
$1.21M 0.02%
9,110
+247
+3% +$32.9K
PNQI icon
597
Invesco NASDAQ Internet ETF
PNQI
$806M
$1.21M 0.02%
98,450
+1,065
+1% +$13.1K
TM icon
598
Toyota
TM
$257B
$1.21M 0.02%
9,439
+160
+2% +$20.5K
SPLS
599
DELISTED
Staples Inc
SPLS
$1.21M 0.02%
82,455
-461
-0.6% -$6.75K
EVV
600
Eaton Vance Limited Duration Income Fund
EVV
$1.2B
$1.21M 0.02%
77,204
-2,590
-3% -$40.5K