T

TradeWorx Portfolio holdings

AUM $75.6M
1-Year Return 34.34%
This Quarter Return
-1.57%
1 Year Return
+34.34%
3 Year Return
5 Year Return
10 Year Return
AUM
$75.6M
AUM Growth
-$47.6M
Cap. Flow
-$47M
Cap. Flow %
-62.24%
Top 10 Hldgs %
17.48%
Holding
472
New
155
Increased
25
Reduced
41
Closed
250

Sector Composition

1 Energy 13.8%
2 Consumer Discretionary 11.59%
3 Industrials 11.09%
4 Technology 10.7%
5 Healthcare 10.16%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
IM
326
DELISTED
Ingram Micro
IM
-14,625
Closed -$427K
AMSG
327
DELISTED
Amsurg Corp
AMSG
-4,472
Closed -$204K
RAX
328
DELISTED
Rackspace Hosting Inc
RAX
-33,907
Closed -$1.14M
DRYS
329
DELISTED
DryShips Inc. Common Stock
DRYS
0
-$115K
OUTR
330
DELISTED
OUTERWALL INC
OUTR
-4,869
Closed -$289K
DANG
331
DELISTED
E-COMMERCE CHINA DANGDANG INC SPNSRD ADS REP COM CL A (CYM)
DANG
-16,303
Closed -$218K
DWA
332
DELISTED
DREAMWORKS ANIMATION SKG INC CL-A
DWA
-10,971
Closed -$255K
HTS
333
DELISTED
HATTERAS FINANCIAL CORP
HTS
-12,543
Closed -$248K
HNT
334
DELISTED
HEALTH NET INC
HNT
-7,391
Closed -$307K
BRCM
335
DELISTED
BROADCOM CORP CL-A
BRCM
-20,994
Closed -$779K
OVTI
336
DELISTED
OMNIVISION TECHNOLOGIES INC
OVTI
-23,863
Closed -$525K
GDP
337
DELISTED
GOODRICH PETROLEUM CORP(NEW)
GDP
-13,610
Closed -$376K
PVA
338
DELISTED
PENN VIRGINIA CORP
PVA
-12,144
Closed -$206K
BEE
339
DELISTED
STRATEGIC HOTELS & RESORTS, INC
BEE
-89,344
Closed -$1.05M
VTG
340
DELISTED
VANTAGE DRILLING COMPANY ORD SHS (KY)
VTG
-35,351
Closed -$68K
HK
341
DELISTED
Halcon Resources Corporation
HK
-901
Closed -$1.13M
K icon
342
Kellanova
K
$27.8B
-5,290
Closed -$326K
PH icon
343
Parker-Hannifin
PH
$96.1B
-4,291
Closed -$540K
EXK
344
Endeavour Silver
EXK
$1.74B
-12,620
Closed -$69K
EXP icon
345
Eagle Materials
EXP
$7.86B
-3,387
Closed -$319K
EXPD icon
346
Expeditors International
EXPD
$16.4B
-9,396
Closed -$415K
EXR icon
347
Extra Space Storage
EXR
$31.3B
-9,147
Closed -$487K
FCEL icon
348
FuelCell Energy
FCEL
$92.3M
-2
Closed -$26K
FHN icon
349
First Horizon
FHN
$11.3B
-12,701
Closed -$151K
FI icon
350
Fiserv
FI
$73.4B
-8,256
Closed -$249K