VKH

Virtu KCG Holdings Portfolio holdings

AUM $2.24B
1-Year Return 11.51%
This Quarter Return
+1.12%
1 Year Return
+11.51%
3 Year Return
+10.46%
5 Year Return
10 Year Return
AUM
$2.24B
AUM Growth
-$249M
Cap. Flow
-$272M
Cap. Flow %
-12.12%
Top 10 Hldgs %
6.71%
Holding
3,992
New
939
Increased
923
Reduced
927
Closed
1,182
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CYS
301
DELISTED
CYS Investments Inc.
CYS
$1.72M 0.05%
+204,541
New +$1.72M
PXI icon
302
Invesco Dorsey Wright Energy Momentum ETF
PXI
$42.7M
$1.7M 0.05%
50,868
+13,844
+37% +$463K
WLL
303
DELISTED
Whiting Petroleum Corporation
WLL
$1.7M 0.05%
1,026
+808
+371% +$1.34M
IWN icon
304
iShares Russell 2000 Value ETF
IWN
$11.9B
$1.69M 0.05%
14,232
+11,990
+535% +$1.43M
TM icon
305
Toyota
TM
$260B
$1.68M 0.05%
15,979
+13,004
+437% +$1.37M
LII icon
306
Lennox International
LII
$20.3B
$1.67M 0.05%
9,092
+4,326
+91% +$795K
XRX icon
307
Xerox
XRX
$493M
$1.67M 0.05%
58,118
+20,031
+53% +$576K
REM icon
308
iShares Mortgage Real Estate ETF
REM
$618M
$1.67M 0.05%
+35,975
New +$1.67M
RCL icon
309
Royal Caribbean
RCL
$95.7B
$1.67M 0.05%
15,265
+205
+1% +$22.4K
SCHR icon
310
Schwab Intermediately-Term US Treasury ETF
SCHR
$11.6B
$1.66M 0.05%
+61,588
New +$1.66M
TMF icon
311
Direxion Daily 20+ Year Treasury Bull 3X Shares
TMF
$5.29B
$1.66M 0.05%
7,935
+5,153
+185% +$1.08M
WDC icon
312
Western Digital
WDC
$31.9B
$1.66M 0.05%
24,812
-9,798
-28% -$656K
CCI icon
313
Crown Castle
CCI
$41.9B
$1.66M 0.05%
16,579
+7,229
+77% +$724K
AUY
314
DELISTED
Yamana Gold, Inc.
AUY
$1.65M 0.05%
681,389
+619,466
+1,000% +$1.5M
EXPE icon
315
Expedia Group
EXPE
$26.6B
$1.65M 0.05%
11,057
+3,581
+48% +$533K
RJZ
316
DELISTED
AB Svensk Ekportkredit ELEMENTS Linked to the Rogers International Commodity Index-Metals Total Return
RJZ
$1.64M 0.05%
205,160
-48,013
-19% -$385K
BBWI icon
317
Bath & Body Works
BBWI
$6.06B
$1.64M 0.05%
37,568
-10,804
-22% -$471K
XLBS
318
DELISTED
POWERSHARES S&P SMALLCAP MATERIALS PORT
XLBS
$1.63M 0.05%
34,941
+7,354
+27% +$344K
CMF icon
319
iShares California Muni Bond ETF
CMF
$3.39B
$1.62M 0.05%
27,544
-72,324
-72% -$4.26M
BSJH
320
DELISTED
Guggenheim BulletShares 2017 High Yield Corporate Bond ETF
BSJH
$1.62M 0.04%
62,799
-87,848
-58% -$2.26M
UCO icon
321
ProShares Ultra Bloomberg Crude Oil
UCO
$356M
$1.61M 0.04%
17,373
+1,759
+11% +$163K
MCK icon
322
McKesson
MCK
$85.5B
$1.6M 0.04%
9,742
-1,251
-11% -$206K
TNL icon
323
Travel + Leisure Co
TNL
$4.08B
$1.6M 0.04%
35,371
-57,535
-62% -$2.61M
APO icon
324
Apollo Global Management
APO
$75.3B
$1.59M 0.04%
+60,220
New +$1.59M
FLIR
325
DELISTED
FLIR Systems, Inc. (DE) Common Stock
FLIR
$1.59M 0.04%
45,874
+35,376
+337% +$1.23M