VAM

Visium Asset Management Portfolio holdings

AUM $955M
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
+$955M
Cap. Flow
-$4.59B
Cap. Flow %
-480.6%
Top 10 Hldgs %
18.62%
Holding
573
New
116
Increased
25
Reduced
138
Closed
255

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
UAA icon
126
Under Armour
UAA
$2.17B
$2.48M 0.17%
+61,832
New +$2.48M
BCO icon
127
Brink's
BCO
$4.69B
$2.48M 0.17%
86,881
-19,819
-19% -$565K
M icon
128
Macy's
M
$4.42B
$2.46M 0.17%
+73,307
New +$2.46M
AIV
129
Aimco
AIV
$1.1B
$2.45M 0.17%
+55,548
New +$2.45M
AZO icon
130
AutoZone
AZO
$70.1B
$2.45M 0.17%
+3,088
New +$2.45M
HAR
131
DELISTED
Harman International Industries
HAR
$2.39M 0.17%
+33,348
New +$2.39M
OCLR
132
DELISTED
Oclaro Inc.
OCLR
$2.38M 0.17%
486,861
-513,139
-51% -$2.5M
SLG icon
133
SL Green Realty
SLG
$4.16B
$2.38M 0.17%
+22,302
New +$2.38M
MIDD icon
134
Middleby
MIDD
$6.87B
$2.36M 0.17%
+20,467
New +$2.36M
TEL icon
135
TE Connectivity
TEL
$60.9B
$2.35M 0.16%
41,171
-50,879
-55% -$2.91M
VC icon
136
Visteon
VC
$3.35B
$2.34M 0.16%
+35,606
New +$2.34M
FSLR icon
137
First Solar
FSLR
$21.6B
$2.33M 0.16%
+48,090
New +$2.33M
HCACU
138
DELISTED
Hennessy Capital Acquisition Corp. Unit
HCACU
$2.33M 0.16%
250,051
BRX icon
139
Brixmor Property Group
BRX
$8.57B
$2.32M 0.16%
+87,688
New +$2.32M
GPRO icon
140
GoPro
GPRO
$234M
$2.32M 0.16%
+214,335
New +$2.32M
CF icon
141
CF Industries
CF
$13.7B
$2.26M 0.16%
+93,799
New +$2.26M
VA
142
DELISTED
Virgin America Inc.
VA
$2.22M 0.16%
+39,579
New +$2.22M
ALR
143
DELISTED
Alere Inc
ALR
$2.21M 0.15%
53,104
-87,008
-62% -$3.63M
ARGO
144
DELISTED
Argo Group International Holdings, Ltd.
ARGO
$2.18M 0.15%
42,002
-25,729
-38% -$1.69M
ZNGA
145
DELISTED
ZYNGA INC. CL A COMMON
ZNGA
$2.18M 0.15%
+874,602
New +$2.18M
SPLK
146
DELISTED
Splunk Inc
SPLK
$2.15M 0.15%
39,716
-36,485
-48% -$1.98M
AMG icon
147
Affiliated Managers Group
AMG
$6.55B
$2.14M 0.15%
+15,225
New +$2.14M
TJX icon
148
TJX Companies
TJX
$155B
$2.14M 0.15%
+27,731
New +$2.14M
CNX icon
149
CNX Resources
CNX
$4.17B
$2.09M 0.15%
130,065
-864,489
-87% -$13.9M
WPX
150
DELISTED
WPX Energy, Inc.
WPX
$2.07M 0.14%
222,018
-256,779
-54% -$2.39M