TCM

Twin Capital Management Portfolio holdings

AUM $941M
This Quarter Return
+2.56%
1 Year Return
+23.22%
3 Year Return
+104.53%
5 Year Return
+184.68%
10 Year Return
+410.33%
AUM
$941M
AUM Growth
Cap. Flow
+$941M
Cap. Flow %
100%
Top 10 Hldgs %
20.53%
Holding
359
New
359
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 12.83%
2 Financials 12.76%
3 Healthcare 10.92%
4 Consumer Staples 9.27%
5 Energy 9.03%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
XLS
251
DELISTED
EXELIS INC COM STK
XLS
$976K 0.1%
+70,800
New +$976K
LDOS icon
252
Leidos
LDOS
$23.2B
$965K 0.1%
+69,310
New +$965K
P
253
DELISTED
Pandora Media Inc
P
$941K 0.1%
+51,150
New +$941K
RKT
254
DELISTED
ROCK-TENN COMPANY CL-A
RKT
$932K 0.1%
+9,330
New +$932K
WHR icon
255
Whirlpool
WHR
$5.07B
$931K 0.1%
+8,140
New +$931K
AXS icon
256
AXIS Capital
AXS
$7.69B
$900K 0.1%
+19,650
New +$900K
APOL
257
DELISTED
Apollo Education Group Inc Class A
APOL
$898K 0.1%
+50,670
New +$898K
XRX icon
258
Xerox
XRX
$472M
$897K 0.1%
+98,910
New +$897K
AVY icon
259
Avery Dennison
AVY
$13.2B
$866K 0.09%
+20,250
New +$866K
CNH
260
DELISTED
CNH GLOBAL N.V. (NEW)
CNH
$856K 0.09%
+20,550
New +$856K
ATGE icon
261
Adtalem Global Education
ATGE
$4.76B
$851K 0.09%
+27,450
New +$851K
TSN icon
262
Tyson Foods
TSN
$20.1B
$836K 0.09%
+32,550
New +$836K
PRA icon
263
ProAssurance
PRA
$1.22B
$820K 0.09%
+15,720
New +$820K
CF icon
264
CF Industries
CF
$14.1B
$811K 0.09%
+4,729
New +$811K
BMY icon
265
Bristol-Myers Squibb
BMY
$95.9B
$784K 0.08%
+17,540
New +$784K
VR
266
DELISTED
Validus Hold Ltd
VR
$773K 0.08%
+21,400
New +$773K
MXIM
267
DELISTED
Maxim Integrated Products
MXIM
$750K 0.08%
+27,000
New +$750K
WCRX
268
DELISTED
WARNER CHILCOTT PLC ORD SHS CL A (IRL)
WCRX
$717K 0.08%
+36,000
New +$717K
OA
269
DELISTED
Orbital ATK, Inc.
OA
$716K 0.08%
+8,700
New +$716K
AGNC icon
270
AGNC Investment
AGNC
$10.1B
$676K 0.07%
+29,400
New +$676K
TRW
271
DELISTED
TRW AUTOMOTIVE HOLDINGS CORP
TRW
$658K 0.07%
+9,900
New +$658K
AVX
272
DELISTED
AVX Corporation
AVX
$640K 0.07%
+54,500
New +$640K
ADP icon
273
Automatic Data Processing
ADP
$122B
$603K 0.06%
+8,760
New +$603K
LMT icon
274
Lockheed Martin
LMT
$105B
$531K 0.06%
+4,900
New +$531K
MA icon
275
Mastercard
MA
$532B
$517K 0.06%
+900
New +$517K