US Bancorp

US Bancorp Portfolio holdings

AUM $79.4B
1-Year Return 14.74%
This Quarter Return
+1.11%
1 Year Return
+14.74%
3 Year Return
+59.63%
5 Year Return
+101.04%
10 Year Return
+218.84%
AUM
$21.9B
AUM Growth
Cap. Flow
+$21.9B
Cap. Flow %
100%
Top 10 Hldgs %
25.13%
Holding
3,277
New
3,264
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Industrials 12.74%
2 Financials 11.42%
3 Consumer Staples 10.42%
4 Healthcare 9.95%
5 Energy 9.55%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
DBC icon
701
Invesco DB Commodity Index Tracking Fund
DBC
$1.27B
$1.51M 0.01%
+60,042
New +$1.51M
BC icon
702
Brunswick
BC
$4.37B
$1.51M 0.01%
+47,127
New +$1.51M
EPAC icon
703
Enerpac Tool Group
EPAC
$2.29B
$1.5M 0.01%
+45,617
New +$1.5M
BBWI icon
704
Bath & Body Works
BBWI
$5.87B
$1.5M 0.01%
+37,761
New +$1.5M
ICUI icon
705
ICU Medical
ICUI
$3.22B
$1.49M 0.01%
+20,730
New +$1.49M
STWD icon
706
Starwood Property Trust
STWD
$7.53B
$1.49M 0.01%
+74,770
New +$1.49M
TYG
707
Tortoise Energy Infrastructure Corp
TYG
$732M
$1.49M 0.01%
+8,020
New +$1.49M
ZD icon
708
Ziff Davis
ZD
$1.58B
$1.49M 0.01%
+40,194
New +$1.49M
JCP
709
DELISTED
J.C. Penney Company, Inc.
JCP
$1.49M 0.01%
+87,002
New +$1.49M
AVGO icon
710
Broadcom
AVGO
$1.63T
$1.49M 0.01%
+397,290
New +$1.49M
FSTR icon
711
Foster
FSTR
$288M
$1.47M 0.01%
+34,040
New +$1.47M
LPS
712
DELISTED
LENDER PROCESSING SERVICES INC
LPS
$1.47M 0.01%
+45,354
New +$1.47M
LRCX icon
713
Lam Research
LRCX
$133B
$1.47M 0.01%
+330,870
New +$1.47M
AGZ icon
714
iShares Agency Bond ETF
AGZ
$617M
$1.45M 0.01%
+13,104
New +$1.45M
GME icon
715
GameStop
GME
$10.4B
$1.44M 0.01%
+137,244
New +$1.44M
KMR
716
DELISTED
KINDER MORGAN MANAGEMENT LLC
KMR
$1.44M 0.01%
+19,050
New +$1.44M
BBL
717
DELISTED
BHP Group Plc American Depositary Shares (Each representing two Ordinary Shares)
BBL
$1.44M 0.01%
+28,070
New +$1.44M
OGE icon
718
OGE Energy
OGE
$8.75B
$1.44M 0.01%
+42,068
New +$1.44M
ATI icon
719
ATI
ATI
$10.7B
$1.43M 0.01%
+54,357
New +$1.43M
MCRS
720
DELISTED
MICROS SYSTEMS INC
MCRS
$1.43M 0.01%
+33,098
New +$1.43M
MGEE icon
721
MGE Energy Inc
MGEE
$3.04B
$1.41M 0.01%
+38,703
New +$1.41M
ATVI
722
DELISTED
Activision Blizzard Inc.
ATVI
$1.41M 0.01%
+99,062
New +$1.41M
VIAB
723
DELISTED
Viacom Inc. Class B
VIAB
$1.41M 0.01%
+20,750
New +$1.41M
GLF
724
DELISTED
GulfMark Offshore, Inc. Common Stock
GLF
$1.41M 0.01%
+31,289
New +$1.41M
NWL icon
725
Newell Brands
NWL
$2.65B
$1.4M 0.01%
+53,334
New +$1.4M