WT

Wilmington Trust Portfolio holdings

AUM $6.01B
This Quarter Return
+4.12%
1 Year Return
+21.38%
3 Year Return
5 Year Return
10 Year Return
AUM
$6.01B
AUM Growth
+$6.01B
Cap. Flow
+$93.3M
Cap. Flow %
1.55%
Top 10 Hldgs %
35.89%
Holding
744
New
39
Increased
355
Reduced
234
Closed
31

Sector Composition

1 Energy 10.73%
2 Healthcare 9.7%
3 Materials 9.06%
4 Industrials 8.04%
5 Technology 6.98%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HSP
301
DELISTED
HOSPIRA INC
HSP
$1.57M 0.03%
30,551
-467
-2% -$24K
LNC icon
302
Lincoln National
LNC
$8.21B
$1.55M 0.03%
30,049
+3,346
+13% +$172K
GPC icon
303
Genuine Parts
GPC
$19B
$1.54M 0.03%
17,535
+67
+0.4% +$5.88K
ESL
304
DELISTED
Esterline Technologies
ESL
$1.54M 0.03%
13,333
A icon
305
Agilent Technologies
A
$35.5B
$1.52M 0.03%
26,492
+37
+0.1% +$2.13K
HES
306
DELISTED
Hess
HES
$1.52M 0.03%
15,319
+1,320
+9% +$131K
WMK icon
307
Weis Markets
WMK
$1.79B
$1.51M 0.03%
33,083
L icon
308
Loews
L
$20.1B
$1.51M 0.03%
34,298
-1,066
-3% -$46.9K
RIO icon
309
Rio Tinto
RIO
$102B
$1.51M 0.03%
27,796
+888
+3% +$48.2K
AME icon
310
Ametek
AME
$42.6B
$1.51M 0.03%
28,851
BRCM
311
DELISTED
BROADCOM CORP CL-A
BRCM
$1.5M 0.02%
40,308
-2,787
-6% -$104K
PRU icon
312
Prudential Financial
PRU
$37.8B
$1.48M 0.02%
16,720
+10,729
+179% +$952K
BHI
313
DELISTED
Baker Hughes
BHI
$1.48M 0.02%
19,899
+8,263
+71% +$615K
TJX icon
314
TJX Companies
TJX
$155B
$1.46M 0.02%
27,390
+1,853
+7% +$98.5K
TWC
315
DELISTED
TIME WARNER CABLE INC NEW COM STK
TWC
$1.46M 0.02%
9,875
+625
+7% +$92.1K
ALXN
316
DELISTED
Alexion Pharmaceuticals Inc
ALXN
$1.45M 0.02%
9,290
-367
-4% -$57.4K
RDS.B
317
DELISTED
Royal Dutch Shell PLC ADS Class B
RDS.B
$1.45M 0.02%
16,600
+148
+0.9% +$12.9K
UN
318
DELISTED
Unilever NV New York Registry Shares
UN
$1.44M 0.02%
32,913
-3,444
-9% -$151K
DVN icon
319
Devon Energy
DVN
$22.3B
$1.44M 0.02%
18,077
+842
+5% +$66.9K
SIAL
320
DELISTED
SIGMA - ALDRICH CORP
SIAL
$1.43M 0.02%
14,050
IAU icon
321
iShares Gold Trust
IAU
$52.2B
$1.42M 0.02%
110,415
+8,266
+8% +$106K
M icon
322
Macy's
M
$4.42B
$1.42M 0.02%
24,451
+3,360
+16% +$195K
FI icon
323
Fiserv
FI
$74.3B
$1.42M 0.02%
23,465
+163
+0.7% +$9.83K
CMG icon
324
Chipotle Mexican Grill
CMG
$56B
$1.38M 0.02%
2,322
-1,674
-42% -$991K
COV
325
DELISTED
COVIDIEN PLC COM SHS NEW (IRELAND)
COV
$1.37M 0.02%
15,181
-26,843
-64% -$2.42M