VAM

Visium Asset Management Portfolio holdings

AUM $955M
1-Year Return 4.5%
This Quarter Return
+3.05%
1 Year Return
-4.5%
3 Year Return
+94.87%
5 Year Return
10 Year Return
AUM
$955M
AUM Growth
-$4.63B
Cap. Flow
-$4.62B
Cap. Flow %
-483.52%
Top 10 Hldgs %
18.62%
Holding
573
New
116
Increased
25
Reduced
139
Closed
254

Sector Composition

1 Financials 15.4%
2 Technology 14.39%
3 Energy 10.83%
4 Industrials 8.37%
5 Consumer Discretionary 7.81%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
WLH
226
DELISTED
WILLIAM LYON HOMES
WLH
$572K 0.04%
+35,464
New +$572K
BECN
227
DELISTED
Beacon Roofing Supply, Inc.
BECN
$540K 0.04%
+11,879
New +$540K
PHM icon
228
Pultegroup
PHM
$27.7B
$510K 0.04%
26,187
-935,729
-97% -$18.2M
BMCH
229
DELISTED
BMC Stock Holdings, Inc
BMCH
$494K 0.03%
+27,716
New +$494K
DAL icon
230
Delta Air Lines
DAL
$39.9B
$462K 0.03%
12,683
-281,021
-96% -$10.2M
SGYP
231
DELISTED
Synergy Pharmaceuticals, Inc Common Stock
SGYP
$451K 0.03%
+118,753
New +$451K
HW
232
DELISTED
Headwaters Inc
HW
$427K 0.03%
23,764
-6,267
-21% -$113K
AGN
233
DELISTED
Allergan plc
AGN
$426K 0.03%
1,847
-983,063
-100% -$227M
PRLB icon
234
Protolabs
PRLB
$1.19B
$423K 0.03%
+7,349
New +$423K
GCP
235
DELISTED
GCP Applied Technologies Inc.
GCP
$413K 0.03%
15,837
+223
+1% +$5.82K
DD
236
DELISTED
Du Pont De Nemours E I
DD
$411K 0.03%
6,337
-507,138
-99% -$32.9M
TCON
237
DELISTED
TRACON Pharmaceuticals, Inc. Common Stock
TCON
$405K 0.03%
462
-1,538
-77% -$1.35M
MON
238
DELISTED
Monsanto Co
MON
$393K 0.03%
+3,797
New +$393K
NYRT
239
DELISTED
New York REIT, Inc.
NYRT
$367K 0.03%
+3,960
New +$367K
TA
240
DELISTED
TravelCenters of America LLC
TA
$355K 0.02%
+8,697
New +$355K
FELE icon
241
Franklin Electric
FELE
$4.34B
$354K 0.02%
+10,706
New +$354K
HDS
242
DELISTED
HD Supply Holdings, Inc.
HDS
$354K 0.02%
10,172
-108,470
-91% -$3.77M
CAR icon
243
Avis
CAR
$5.5B
$346K 0.02%
+10,749
New +$346K
ENOV icon
244
Enovis
ENOV
$1.84B
$330K 0.02%
+7,265
New +$330K
IPHI
245
DELISTED
INPHI CORPORATION
IPHI
$328K 0.02%
10,221
-226,788
-96% -$7.28M
STKL
246
SunOpta
STKL
$779M
$326K 0.02%
+77,892
New +$326K
GTLS icon
247
Chart Industries
GTLS
$8.96B
$318K 0.02%
+13,180
New +$318K
GNMK
248
DELISTED
GenMark Diagnostics, Inc
GNMK
$307K 0.02%
35,235
-264,765
-88% -$2.31M
DOOR
249
DELISTED
MASONITE INTERNATIONAL CORP
DOOR
$290K 0.02%
+4,381
New +$290K
PACB icon
250
Pacific Biosciences
PACB
$381M
$279K 0.02%
+39,659
New +$279K