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
CLF icon
201
Cleveland-Cliffs
CLF
$5.63B
$206K 0.18%
+13,700
New +$206K
VOLC
202
DELISTED
VOLCANO CORPORATION COM STK
VOLC
$200K 0.17%
+11,378
New +$200K
MBI icon
203
MBIA
MBI
$377M
$197K 0.17%
+17,816
New +$197K
SWBI icon
204
Smith & Wesson
SWBI
$388M
$195K 0.17%
+17,433
New +$195K
ZLTQ
205
DELISTED
ZELTIQ Aesthetics, Inc.
ZLTQ
$195K 0.17%
+12,837
New +$195K
GTT
206
DELISTED
GTT Communications, Inc.
GTT
$189K 0.16%
+18,498
New +$189K
MNKD icon
207
MannKind Corp
MNKD
$1.7B
$187K 0.16%
+3,420
New +$187K
NWBO
208
DELISTED
Northwest Biotherapeutics, Inc. Common stock
NWBO
$183K 0.16%
+27,238
New +$183K
POWR
209
DELISTED
POWERSECURE INTL INC COM STK (DE)
POWR
$179K 0.15%
+18,327
New +$179K
BTU
210
DELISTED
PEABODY ENERGY CORP COM STK NEW (DE)
BTU
$173K 0.15%
+703
New +$173K
CLS icon
211
Celestica
CLS
$27.9B
$172K 0.15%
+13,708
New +$172K
IXYS
212
DELISTED
IXYS Corp
IXYS
$172K 0.15%
+13,937
New +$172K
LOGI icon
213
Logitech
LOGI
$15.8B
$170K 0.15%
13,048
-3,883
-23% -$50.6K
BRCD
214
DELISTED
Brocade Communications Systems, Inc. NEW
BRCD
$165K 0.14%
17,895
-101,403
-85% -$935K
RLD
215
DELISTED
REALD INC COM STK
RLD
$157K 0.13%
+12,287
New +$157K
ISLE
216
DELISTED
Isle of Capri Casinos Inc
ISLE
$153K 0.13%
+17,930
New +$153K
ARNA
217
DELISTED
Arena Pharmaceuticals Inc
ARNA
$142K 0.12%
+2,430
New +$142K
INWK
218
DELISTED
InnerWorkings, Inc.
INWK
$142K 0.12%
+16,738
New +$142K
TLGT
219
DELISTED
Teligent, Inc
TLGT
$130K 0.11%
+2,446
New +$130K
MEIP icon
220
MEI Pharma
MEIP
$139M
$127K 0.11%
+1,004
New +$127K
LPSN icon
221
LivePerson
LPSN
$89.9M
$124K 0.11%
+12,184
New +$124K
ATSG
222
DELISTED
Air Transport Services Group, Inc.
ATSG
$124K 0.11%
+14,860
New +$124K
AMPE
223
DELISTED
Ampio Pharmaceuticals Inc.
AMPE
$121K 0.1%
+48
New +$121K
VHI icon
224
Valhi
VHI
$461M
$120K 0.1%
+1,562
New +$120K
PGEM
225
DELISTED
Ply Gem Holdings, Inc.
PGEM
$118K 0.1%
+11,672
New +$118K