TAM

Telluride Asset Management Portfolio holdings

AUM $117M
This Quarter Return
+1.46%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$117M
AUM Growth
-$2.56M
Cap. Flow
-$6.22M
Cap. Flow %
-5.32%
Top 10 Hldgs %
19.97%
Holding
406
New
173
Increased
39
Reduced
28
Closed
163

Sector Composition

1 Real Estate 28.18%
2 Technology 14.8%
3 Industrials 12.77%
4 Energy 8.25%
5 Healthcare 7.02%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ENTG icon
151
Entegris
ENTG
$12.4B
$287K 0.25%
20,903
+22
+0.1% +$302
INXN
152
DELISTED
Interxion Holding N.V.
INXN
$283K 0.24%
+10,354
New +$283K
CHK
153
DELISTED
Chesapeake Energy Corporation
CHK
$282K 0.24%
+48
New +$282K
MXIM
154
DELISTED
Maxim Integrated Products
MXIM
$279K 0.24%
+8,262
New +$279K
CBL
155
DELISTED
CBL& Associates Properties, Inc.
CBL
$274K 0.23%
14,415
-10,797
-43% -$205K
RESI
156
DELISTED
Front Yard Residential Corporation Common Stock
RESI
$274K 0.23%
+10,510
New +$274K
TW
157
DELISTED
TOWERS WATSON & CO COM STK CL A (DE)
TW
$265K 0.23%
2,540
+700
+38% +$73K
EEM icon
158
iShares MSCI Emerging Markets ETF
EEM
$19.2B
$263K 0.23%
+6,090
New +$263K
GTN icon
159
Gray Television
GTN
$625M
$262K 0.22%
+19,977
New +$262K
MGM icon
160
MGM Resorts International
MGM
$9.98B
$261K 0.22%
9,868
-12,900
-57% -$341K
CRZO
161
DELISTED
Carrizo Oil & Gas Inc
CRZO
$261K 0.22%
+3,772
New +$261K
SIVB
162
DELISTED
SVB Financial Group
SIVB
$257K 0.22%
2,200
RCL icon
163
Royal Caribbean
RCL
$95.7B
$256K 0.22%
+4,600
New +$256K
BR icon
164
Broadridge
BR
$29.4B
$254K 0.22%
6,088
FNGN
165
DELISTED
Financial Engines, Inc.
FNGN
$254K 0.22%
+5,605
New +$254K
FNSR
166
DELISTED
Finisar Corp
FNSR
$254K 0.22%
+12,842
New +$254K
ACHC icon
167
Acadia Healthcare
ACHC
$2.19B
$250K 0.21%
5,500
-3,900
-41% -$177K
CBST
168
DELISTED
CUBIST PHARMACEUTICALS INC
CBST
$243K 0.21%
+3,484
New +$243K
DD icon
169
DuPont de Nemours
DD
$32.6B
$242K 0.21%
2,330
+50
+2% +$5.19K
OTEX icon
170
Open Text
OTEX
$8.45B
$241K 0.21%
+10,040
New +$241K
GPOR
171
DELISTED
Gulfport Energy Corp.
GPOR
$239K 0.2%
+3,800
New +$239K
ALK icon
172
Alaska Air
ALK
$7.28B
$238K 0.2%
+5,014
New +$238K
EMR icon
173
Emerson Electric
EMR
$74.6B
$238K 0.2%
+3,589
New +$238K
WW
174
DELISTED
WW International
WW
$238K 0.2%
+11,796
New +$238K
AZPN
175
DELISTED
ASPEN TECHNOLOGY INC
AZPN
$236K 0.2%
+5,096
New +$236K