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VKH

Virtu KCG Holdings Portfolio holdings

AUM $3.6B
1-Year Est. Return 17.11%
This Fund
S&P 500
This Quarter Est. Return
+2.65%
1 Year Est. Return
+17.11%
3 Year Est. Return
+11.98%
5 Year Est. Return
10 Year Est. Return
AUM
$4.92B
AUM Growth
-$1.19B
Cap. Flow
-$1.23B
Cap. Flow %
-24.98%
Top 10 Hldgs %
31.14%
Holding
4,595
New
888
Increased
831
Reduced
1,324
Closed
1,508

Sector Composition

Rank Sector Weight
1 Technology 4.46%
2 Healthcare 4.25%
3 Consumer Discretionary 4.17%
4 Financials 3.67%
5 Communication Services 3.62%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
CTF
4276
DELISTED
Nuveen Long/Short Commodity Fd
CTF
-14,306
Closed -$237K
VLTC
4277
DELISTED
Voltari Corporation
VLTC
-12,960
Closed -$9K
ACTS
4278
DELISTED
Actions Semiconductor Co
ACTS
-12,656
Closed -$25K
VA
4279
DELISTED
Virgin America Inc.
VA
-13,673
Closed -$591K
BEBE
4280
DELISTED
Bebe Stores Inc
BEBE
-4,889
Closed -$107K
LGF
4281
CALL
DELISTED
Lions Gate Entertainment
LGF
-31,300
Closed -$1M
LGF
4282
PUT
DELISTED
Lions Gate Entertainment
LGF
-21,000
Closed -$672K
QLTI
4283
DELISTED
QLT Inc
QLTI
-20,590
Closed -$83K
FES
4284
DELISTED
Forbes Energy Services Ltd
FES
-33,413
Closed -$40K
ACW
4285
DELISTED
Accuride Corp
ACW
-13,840
Closed -$60K
MOBI
4286
DELISTED
Sky-mobi Limited ADS
MOBI
-75,406
Closed -$287K
SAAS
4287
DELISTED
inContact, Inc.
SAAS
-11,307
Closed -$99K
RAX
4288
PUT
DELISTED
Rackspace Hosting Inc
RAX
-11,200
Closed -$524K
HNR
4289
DELISTED
Harvest Natural Resources
HNR
-5,758
Closed -$42K
DRYS
4290
CALL
DELISTED
DryShips Inc. Common Stock
DRYS
0
-$24K
DRYS
4291
PUT
DELISTED
DryShips Inc. Common Stock
DRYS
0
-$22K
VTAE
4292
DELISTED
VITAE PHARMACEUTICALS INC COMMON STOCK
VTAE
-11,295
Closed -$188K
ULTR
4293
DELISTED
ULTRAPETROL (BAHAMAS) LTD COM STK
ULTR
-17,633
Closed -$38K
PTX
4294
DELISTED
Pernix Therapeutics Holdings, Inc.
PTX
-2,128
Closed -$200K
ROKA
4295
DELISTED
Sorrento Tech, Inc. Common Stock
ROKA
-1,158
Closed -$51K
COSI
4296
DELISTED
COSI INC NEW COM STK (DE)
COSI
-142,261
Closed -$226K
OUTR
4297
CALL
DELISTED
OUTERWALL INC
OUTR
-4,000
Closed -$301K
OUTR
4298
PUT
DELISTED
OUTERWALL INC
OUTR
-7,900
Closed -$594K
FEIC
4299
DELISTED
FEI COMPANY
FEIC
-2,498
Closed -$226K
SMT
4300
DELISTED
SMART TECHNOLOGIES INC COM NEW
SMT
-1,583
Closed -$19K

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Virtu KCG Holdings's Q1 2015 Portfolio in Review

As of Q1 2015, Virtu KCG Holdings held 4,595 positions worth $4.92B, down 19% from $6.11B the previous quarter. Its ten largest holdings account for 31% of the portfolio.

Virtu KCG Holdings withdrew a net $1.23B in Q1 2015, closing 1,508 positions and reducing 1,324 holdings. Its most notable exit was Berkshire Hathaway Class A, an estimated $53.3M position sold in full.

By sector, the portfolio is most concentrated in Technology at 4.5% of assets, up from 2.4% a quarter earlier, followed by Healthcare and Consumer Discretionary.

Against the trend, Virtu KCG Holdings opened a new position in State Street SPDR Bloomberg Convertible Securities ETF worth $10.5M.

  • Virtu KCG Holdings's largest Q1 2015 buy was State Street SPDR Bloomberg Convertible Securities ETF: 219,064 shares worth $10.5M.
  • Virtu KCG Holdings added most to ASML in Q1 2015, an estimated $37.9M increase.
  • Virtu KCG Holdings's biggest Q1 2015 reduction was Alphabet (Google) Class C, cutting an estimated $80.9M.
  • Virtu KCG Holdings fully exited Berkshire Hathaway Class A in Q1 2015, selling an estimated $53.3M.
  • Virtu KCG Holdings's ten largest holdings make up 31% of its $4.92B portfolio in Q1 2015.
  • Virtu KCG Holdings opened 888 new positions and closed 1,508 in Q1 2015.
  • Virtu KCG Holdings's portfolio value fell 19% quarter-over-quarter to $4.92B.

Based on Virtu KCG Holdings's 13F filing for Q1 2015, filed 15 May 2015.