VF

Virtu Financial Portfolio holdings

AUM $1.96B
1-Year Return 26.08%
This Quarter Return
+4.29%
1 Year Return
+26.08%
3 Year Return
+87.7%
5 Year Return
+194.31%
10 Year Return
AUM
$1.89B
AUM Growth
-$133M
Cap. Flow
-$180M
Cap. Flow %
-9.55%
Top 10 Hldgs %
13.64%
Holding
3,496
New
1,026
Increased
629
Reduced
628
Closed
1,192
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CDE icon
1726
Coeur Mining
CDE
$9.98B
$180K 0.01%
23,988
-1,776
-7% -$13.3K
DHT icon
1727
DHT Holdings
DHT
$1.98B
$180K 0.01%
50,087
+4,405
+10% +$15.8K
IPI icon
1728
Intrepid Potash
IPI
$389M
$180K 0.01%
3,788
-6,202
-62% -$295K
QEP
1729
DELISTED
QEP RESOURCES, INC.
QEP
$180K 0.01%
18,764
+6,108
+48% +$58.6K
LXFR icon
1730
Luxfer Holdings
LXFR
$356M
$179K 0.01%
+11,332
New +$179K
BFX
1731
DELISTED
BowFlex Inc.
BFX
$179K 0.01%
+13,381
New +$179K
VDTH
1732
DELISTED
Videocon d2h Limited
VDTH
$179K 0.01%
+18,821
New +$179K
CLMT icon
1733
Calumet Specialty Products
CLMT
$1.51B
$178K 0.01%
+23,084
New +$178K
FSM icon
1734
Fortuna Silver Mines
FSM
$2.56B
$177K 0.01%
33,999
+9,735
+40% +$50.7K
NAZ icon
1735
Nuveen Arizona Quality Municipal Income Fund
NAZ
$136M
$176K 0.01%
+12,460
New +$176K
SIM icon
1736
Grupo SIMEC
SIM
$176K 0.01%
+18,819
New +$176K
GES icon
1737
Guess, Inc.
GES
$869M
$175K 0.01%
10,392
-1,465
-12% -$24.7K
SOHO
1738
Sotherly Hotels
SOHO
$17.8M
$175K 0.01%
+27,116
New +$175K
SZK icon
1739
ProShares UltraShort Consumer Staples
SZK
$741K
$173K 0.01%
+3,178
New +$173K
PRMW
1740
DELISTED
Primo Water Corporation
PRMW
$173K 0.01%
+10,377
New +$173K
APRN
1741
DELISTED
Blue Apron Holdings, Inc. Class A Common Stock
APRN
$173K 0.01%
239
-62
-21% -$44.9K
CEF icon
1742
Sprott Physical Gold and Silver Trust
CEF
$6.61B
$172K 0.01%
+12,802
New +$172K
EVH icon
1743
Evolent Health
EVH
$1.05B
$172K 0.01%
+13,968
New +$172K
GEOS icon
1744
Geospace Technologies
GEOS
$209M
$172K 0.01%
+13,259
New +$172K
FSTX
1745
DELISTED
F-star Therapeutics, Inc. Common Stock
FSTX
$172K 0.01%
+3,197
New +$172K
OMED
1746
DELISTED
OncoMed Pharmaceuticals, Inc.
OMED
$170K 0.01%
+41,395
New +$170K
MLPX icon
1747
Global X MLP & Energy Infrastructure ETF
MLPX
$2.6B
$168K 0.01%
4,126
-5,354
-56% -$218K
TCS
1748
DELISTED
THE CONTAINER STORE GROUP, INC.
TCS
$168K 0.01%
2,365
+1,383
+141% +$98.2K
LKSD
1749
DELISTED
LSC Communications, Inc.
LKSD
$168K 0.01%
11,100
-5,058
-31% -$76.6K
FINL
1750
DELISTED
Finish Line
FINL
$167K 0.01%
+11,474
New +$167K