VIA

Vantage Investment Advisors Portfolio holdings

AUM $477M
This Quarter Return
+8.54%
1 Year Return
+17.39%
3 Year Return
+56.32%
5 Year Return
+83.73%
10 Year Return
AUM
$477M
AUM Growth
+$477M
Cap. Flow
+$37M
Cap. Flow %
7.76%
Top 10 Hldgs %
26.86%
Holding
852
New
57
Increased
174
Reduced
91
Closed
58

Sector Composition

1 Technology 15.69%
2 Healthcare 12.74%
3 Industrials 11.45%
4 Financials 10.23%
5 Consumer Discretionary 8.89%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SLYG icon
1
SPDR S&P 600 Small Cap Growth ETF
SLYG
$3.55B
$24.5M 5.15% 363,501 +363,310 +190,215% +$24.5M
AAPL icon
2
Apple
AAPL
$3.45T
$18.3M 3.85% 81,323 -109 -0.1% -$24.6K
V icon
3
Visa
V
$683B
$14.8M 3.11% 98,785 +321 +0.3% +$48.2K
EFA icon
4
iShares MSCI EAFE ETF
EFA
$66B
$12.4M 2.6% 184,756 -244,307 -57% -$16.4M
PEP icon
5
PepsiCo
PEP
$204B
$10M 2.1% 89,898 -1,538 -2% -$171K
HON icon
6
Honeywell
HON
$139B
$10M 2.1% 60,397 +1,176 +2% +$195K
JNJ icon
7
Johnson & Johnson
JNJ
$427B
$9.8M 2.06% 71,492 +2,465 +4% +$338K
DIA icon
8
SPDR Dow Jones Industrial Average ETF Trust
DIA
$39.9B
$9.73M 2.04% 36,793 -1,104 -3% -$292K
MSFT icon
9
Microsoft
MSFT
$3.77T
$9.42M 1.98% 82,336 +1,587 +2% +$182K
ADBE icon
10
Adobe
ADBE
$151B
$8.98M 1.88% 33,258 +255 +0.8% +$68.8K
AMZN icon
11
Amazon
AMZN
$2.44T
$8.97M 1.88% 4,476 +99 +2% +$198K
IVV icon
12
iShares Core S&P 500 ETF
IVV
$662B
$8.71M 1.83% 31,267 -126 -0.4% -$35.1K
AET
13
DELISTED
Aetna Inc
AET
$8.61M 1.81% 42,420 +325 +0.8% +$65.9K
HD icon
14
Home Depot
HD
$405B
$8.26M 1.73% 40,009 +1,792 +5% +$370K
MCD icon
15
McDonald's
MCD
$224B
$8.22M 1.72% 49,243 +3,819 +8% +$637K
ACN icon
16
Accenture
ACN
$162B
$8.16M 1.71% 47,943 +458 +1% +$78K
IJT icon
17
iShares S&P Small-Cap 600 Growth ETF
IJT
$6.27B
$8.15M 1.71% 40,393 +38,419 +1,946% +$7.75M
MMM icon
18
3M
MMM
$82.8B
$8.03M 1.69% 38,119 +718 +2% +$151K
CSCO icon
19
Cisco
CSCO
$274B
$8.01M 1.68% 165,759 +9,532 +6% +$460K
LOW icon
20
Lowe's Companies
LOW
$145B
$7.78M 1.63% 67,776 +2,573 +4% +$295K
MDT icon
21
Medtronic
MDT
$119B
$7.75M 1.63% 78,816 +2,206 +3% +$217K
DIS icon
22
Walt Disney
DIS
$213B
$7.69M 1.61% 65,784 +2,190 +3% +$256K
COST icon
23
Costco
COST
$418B
$7.41M 1.55% 31,544 +578 +2% +$136K
LMT icon
24
Lockheed Martin
LMT
$106B
$7.22M 1.51% 20,920 +1,194 +6% +$412K
PFE icon
25
Pfizer
PFE
$141B
$7.19M 1.51% 164,139 +7,231 +5% +$317K