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
PEG icon
701
Public Service Enterprise Group
PEG
$40.9B
$897K 0.01%
27,231
+1,391
+5% +$45.8K
TMO icon
702
Thermo Fisher Scientific
TMO
$186B
$894K 0.01%
9,702
+417
+4% +$38.4K
XME icon
703
SPDR S&P Metals & Mining ETF
XME
$2.4B
$893K 0.01%
+24,363
New +$893K
NPI
704
DELISTED
NUVEEN PREMIUN INC MUN FUND
NPI
$892K 0.01%
69,820
+1,612
+2% +$20.6K
EVG
705
Eaton Vance Short Duration Diversified Income Fund
EVG
$153M
$891K 0.01%
57,518
+5,833
+11% +$90.4K
TEF icon
706
Telefonica
TEF
$30.3B
$891K 0.01%
+78,398
New +$891K
HYF
707
DELISTED
MANAGED HIGH YLD PLUS FD INC
HYF
$885K 0.01%
442,644
-904
-0.2% -$1.81K
ORAN
708
DELISTED
Orange
ORAN
$884K 0.01%
70,674
+1,646
+2% +$20.6K
EWZ icon
709
iShares MSCI Brazil ETF
EWZ
$5.55B
$884K 0.01%
18,442
-20,404
-53% -$978K
TCP
710
DELISTED
TC Pipelines LP
TCP
$881K 0.01%
18,082
-7,994
-31% -$389K
EWRM
711
DELISTED
GUGGENHEIM RUSSELL MIDCAP EQUAL WEIGHT ETF
EWRM
$876K 0.01%
20,094
-268
-1% -$11.7K
TFC icon
712
Truist Financial
TFC
$58.4B
$874K 0.01%
25,882
+2,307
+10% +$77.9K
TT icon
713
Trane Technologies
TT
$92.3B
$868K 0.01%
16,735
+286
+2% +$14.8K
HRZN icon
714
Horizon Technology Finance
HRZN
$296M
$865K 0.01%
64,972
-645
-1% -$8.59K
FPE icon
715
First Trust Preferred Securities and Income ETF
FPE
$6.19B
$864K 0.01%
47,893
+747
+2% +$13.5K
GDV icon
716
Gabelli Dividend & Income Trust
GDV
$2.41B
$860K 0.01%
45,572
+2,424
+6% +$45.7K
HAIN icon
717
Hain Celestial
HAIN
$191M
$860K 0.01%
22,290
-2,648
-11% -$102K
MYI icon
718
BlackRock MuniYield Quality Fund III
MYI
$732M
$858K 0.01%
65,520
+3,749
+6% +$49.1K
UTX.PRA
719
DELISTED
UNITED TECHNOLOGIES CORP CORP UNIT (DE)
UTX.PRA
$857K 0.01%
13,234
+1,006
+8% +$65.2K
ASEI
720
DELISTED
AMER SCIENCE & ENGR INC.
ASEI
$857K 0.01%
14,216
+1,808
+15% +$109K
AMU
721
DELISTED
ETRACS Alerian MLP Index ETN
AMU
$852K 0.01%
+30,386
New +$852K
TLH icon
722
iShares 10-20 Year Treasury Bond ETF
TLH
$11.6B
$850K 0.01%
+6,792
New +$850K
ED icon
723
Consolidated Edison
ED
$35.2B
$850K 0.01%
15,410
+404
+3% +$22.3K
OMC icon
724
Omnicom Group
OMC
$15.1B
$845K 0.01%
13,323
+3,740
+39% +$237K
FXC icon
725
Invesco CurrencyShares Canadian Dollar Trust
FXC
$91.8M
$845K 0.01%
8,748
-35
-0.4% -$3.38K