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
GHDX
376
DELISTED
Genomic Health, Inc.
GHDX
-152,100
Closed -$3.77M
APC
377
DELISTED
Anadarko Petroleum
APC
-260,867
Closed -$12.1M
ARRY
378
DELISTED
Array Biopharma Inc
ARRY
-1,525,000
Closed -$4.5M
BMS
379
DELISTED
Bemis
BMS
-6,655
Closed -$344K
HZNP
380
DELISTED
Horizon Therapeutics Public Limited Company Ordinary Shares
HZNP
-2,804,261
Closed -$46.5M
ULTI
381
DELISTED
Ultimate Software Group Inc
ULTI
-40,906
Closed -$7.91M
USG
382
DELISTED
Usg
USG
-21,023
Closed -$522K
TFCF
383
DELISTED
Twenty-First Century Fox, Inc. Class B
TFCF
-219,432
Closed -$6.19M
KANG
384
DELISTED
iKang Healthcare Group, Inc.
KANG
-762,989
Closed -$16.7M
IMPV
385
DELISTED
Imperva, Inc.
IMPV
-87,277
Closed -$4.41M
ESRX
386
DELISTED
Express Scripts Holding Company
ESRX
-50,000
Closed -$3.44M
AET
387
DELISTED
Aetna Inc
AET
-169,969
Closed -$19.1M
PX
388
DELISTED
Praxair Inc
PX
-25,569
Closed -$2.93M
EVHC
389
DELISTED
Envision Healthcare Holdings Inc
EVHC
-210,490
Closed -$12.9M
KLXI
390
DELISTED
KLX Inc.
KLXI
-98,254
Closed -$2.66M
SRCLP
391
DELISTED
Stericycle, Inc
SRCLP
-50,000
Closed -$4.67M
RSPP
392
DELISTED
RSP Permian, Inc.
RSPP
-152,118
Closed -$4.42M
TWX
393
DELISTED
Time Warner Inc
TWX
-201,863
Closed -$14.6M
OA
394
DELISTED
Orbital ATK, Inc.
OA
-41,000
Closed -$3.57M
BWLD
395
DELISTED
Buffalo Wild Wings, Inc.
BWLD
-46,018
Closed -$6.82M
BETR
396
DELISTED
Amplify Snack Brands, Inc.
BETR
-153,415
Closed -$2.2M
ENZY
397
DELISTED
Enzymotec Ltd
ENZY
-2,200,000
Closed -$19.9M
FIG
398
DELISTED
Fortress Investment Group Llc
FIG
0
PMC
399
DELISTED
PharMerica Corporation
PMC
-221,085
Closed -$4.89M
RICE
400
DELISTED
Rice Energy Inc.
RICE
-603,114
Closed -$8.42M