WA

WealthTrust-Arizona Portfolio holdings

AUM $172M
1-Year Return 6.58%
This Quarter Return
-13.31%
1 Year Return
-6.58%
3 Year Return
+20.19%
5 Year Return
+28.52%
10 Year Return
AUM
$172M
AUM Growth
-$37.2M
Cap. Flow
-$8.25M
Cap. Flow %
-4.81%
Top 10 Hldgs %
63.33%
Holding
748
New
40
Increased
232
Reduced
179
Closed
35

Sector Composition

1 Technology 3.46%
2 Financials 3.1%
3 Industrials 3.01%
4 Healthcare 2.57%
5 Consumer Discretionary 1.86%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
NOK icon
326
Nokia
NOK
$24.7B
$14K 0.01%
2,350
ODFL icon
327
Old Dominion Freight Line
ODFL
$31.8B
$14K 0.01%
336
-3
-0.9% -$125
TQQQ icon
328
ProShares UltraPro QQQ
TQQQ
$27.1B
$14K 0.01%
+1,500
New +$14K
GOL
329
DELISTED
Gol Linhas Aéreas Inteligentes S.A. American Depositary Shares (Each representing Ten Preferred Shares)
GOL
$14K 0.01%
1,000
-300
-23% -$4.2K
DISH
330
DELISTED
DISH Network Corp.
DISH
$14K 0.01%
576
A icon
331
Agilent Technologies
A
$36.3B
$13K 0.01%
187
-1
-0.5% -$70
ARMK icon
332
Aramark
ARMK
$10.1B
$13K 0.01%
636
BZH icon
333
Beazer Homes USA
BZH
$773M
$13K 0.01%
1,375
COR icon
334
Cencora
COR
$57.9B
$13K 0.01%
169
-2
-1% -$154
CTSH icon
335
Cognizant
CTSH
$34.8B
$13K 0.01%
211
-2
-0.9% -$123
DE icon
336
Deere & Co
DE
$130B
$13K 0.01%
87
DFS
337
DELISTED
Discover Financial Services
DFS
$13K 0.01%
212
GLOB icon
338
Globant
GLOB
$2.64B
$13K 0.01%
226
-4
-2% -$230
IJS icon
339
iShares S&P Small-Cap 600 Value ETF
IJS
$6.6B
$13K 0.01%
196
MED icon
340
Medifast
MED
$152M
$13K 0.01%
+100
New +$13K
TKR icon
341
Timken Company
TKR
$5.37B
$13K 0.01%
336
+170
+102% +$6.58K
MDC
342
DELISTED
M.D.C. Holdings, Inc.
MDC
$13K 0.01%
528
CASS icon
343
Cass Information Systems
CASS
$569M
$12K 0.01%
228
-7
-3% -$368
COOP icon
344
Mr. Cooper
COOP
$13.8B
$12K 0.01%
999
+210
+27% +$2.52K
CSTM icon
345
Constellium
CSTM
$2B
$12K 0.01%
1,733
CVGW icon
346
Calavo Growers
CVGW
$485M
$12K 0.01%
164
GTX icon
347
Garrett Motion
GTX
$2.66B
$12K 0.01%
+993
New +$12K
HWM icon
348
Howmet Aerospace
HWM
$72.2B
$12K 0.01%
961
+3
+0.3% +$37
ASIX icon
349
AdvanSix
ASIX
$570M
$12K 0.01%
474
BAX icon
350
Baxter International
BAX
$12.6B
$12K 0.01%
178
+11
+7% +$742