TDC

Thompson Davis & Co Portfolio holdings

AUM $147M
1-Year Return 34.41%
This Quarter Return
+4.15%
1 Year Return
+34.41%
3 Year Return
+279.49%
5 Year Return
10 Year Return
AUM
$86.7M
AUM Growth
+$3.54M
Cap. Flow
+$3.27M
Cap. Flow %
3.77%
Top 10 Hldgs %
23.73%
Holding
1,412
New
165
Increased
242
Reduced
385
Closed
146

Sector Composition

1 Technology 17.5%
2 Healthcare 12.82%
3 Industrials 10.44%
4 Real Estate 8.27%
5 Financials 8.02%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CTRX
426
DELISTED
CATAMARAN CORP COM STK (CDA)
CTRX
$30K 0.03%
487
+230
+89% +$14.2K
VFC icon
427
VF Corp
VFC
$5.86B
$30K 0.03%
452
XLV icon
428
Health Care Select Sector SPDR Fund
XLV
$34B
$30K 0.03%
400
-175
-30% -$13.1K
WGL
429
DELISTED
Wgl Holdings
WGL
$30K 0.03%
550
-23
-4% -$1.26K
CMI icon
430
Cummins
CMI
$55.1B
$29K 0.03%
222
-42
-16% -$5.49K
DAL icon
431
Delta Air Lines
DAL
$39.9B
$29K 0.03%
705
-454
-39% -$18.7K
DFS
432
DELISTED
Discover Financial Services
DFS
$29K 0.03%
510
-278
-35% -$15.8K
DHI icon
433
D.R. Horton
DHI
$54.2B
$29K 0.03%
1,049
-35
-3% -$968
ELV icon
434
Elevance Health
ELV
$70.6B
$29K 0.03%
177
-61
-26% -$9.99K
HMC icon
435
Honda
HMC
$44.8B
$29K 0.03%
880
-20
-2% -$659
INTU icon
436
Intuit
INTU
$188B
$29K 0.03%
290
IWO icon
437
iShares Russell 2000 Growth ETF
IWO
$12.5B
$29K 0.03%
190
MGPI icon
438
MGP Ingredients
MGPI
$622M
$29K 0.03%
1,750
-250
-13% -$4.14K
MOG.A icon
439
Moog
MOG.A
$6.17B
$29K 0.03%
408
-16
-4% -$1.14K
SBH icon
440
Sally Beauty Holdings
SBH
$1.44B
$29K 0.03%
903
AEL
441
DELISTED
American Equity Investment Life Holding Company
AEL
$29K 0.03%
1,069
-43
-4% -$1.17K
MMP
442
DELISTED
Magellan Midstream Partners, L.P.
MMP
$29K 0.03%
400
FLIR
443
DELISTED
FLIR Systems, Inc. (DE) Common Stock
FLIR
$28K 0.03%
900
-35
-4% -$1.09K
DNKN
444
DELISTED
Dunkin' Brands Group, Inc.
DNKN
$28K 0.03%
513
+3
+0.6% +$164
CCMP
445
DELISTED
CMC Materials, Inc. Common Stock
CCMP
$28K 0.03%
593
-24
-4% -$1.13K
GXP
446
DELISTED
Great Plains Energy Incorporated
GXP
$28K 0.03%
1,178
NMBL
447
DELISTED
Nimble Storage, Inc.
NMBL
$28K 0.03%
+1,000
New +$28K
UN
448
DELISTED
Unilever NV New York Registry Shares
UN
$28K 0.03%
675
-700
-51% -$29K
ADUS icon
449
Addus HomeCare
ADUS
$2.08B
$28K 0.03%
+1,000
New +$28K
FMC icon
450
FMC
FMC
$4.72B
$28K 0.03%
605
+86
+17% +$3.98K