WIL

Winifred I. Li Portfolio holdings

AUM $106M
1-Year Return 11.94%
This Quarter Return
+4.97%
1 Year Return
+11.94%
3 Year Return
5 Year Return
10 Year Return
AUM
$106M
AUM Growth
+$1.17M
Cap. Flow
-$2.4M
Cap. Flow %
-2.27%
Top 10 Hldgs %
21.33%
Holding
573
New
88
Increased
149
Reduced
102
Closed
18

Sector Composition

1 Technology 13.04%
2 Financials 12.92%
3 Healthcare 12.41%
4 Industrials 11.66%
5 Energy 11.27%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MHFI
351
DELISTED
MCGRAW-HILL FINANCIAL INC COM
MHFI
$26K 0.02%
295
MBVT
352
DELISTED
Merchants Bancshares Inc
MBVT
$25K 0.02%
800
AUB icon
353
Atlantic Union Bankshares
AUB
$5.09B
$24K 0.02%
+1,010
New +$24K
EEM icon
354
iShares MSCI Emerging Markets ETF
EEM
$18.9B
$24K 0.02%
600
GILD icon
355
Gilead Sciences
GILD
$140B
$24K 0.02%
253
+213
+533% +$20.2K
EXAC
356
DELISTED
Exactech Inc
EXAC
$24K 0.02%
1,000
DHI icon
357
D.R. Horton
DHI
$52.7B
$23K 0.02%
915
+859
+1,534% +$21.6K
SEAC
358
DELISTED
Seachange International Inc
SEAC
$23K 0.02%
184
DGX icon
359
Quest Diagnostics
DGX
$20.2B
$22K 0.02%
335
+30
+10% +$1.97K
WGL
360
DELISTED
Wgl Holdings
WGL
$22K 0.02%
400
FDO
361
DELISTED
FAMILY DOLLAR STORES
FDO
$22K 0.02%
275
+270
+5,400% +$21.6K
NAVI icon
362
Navient
NAVI
$1.36B
$21K 0.02%
986
+806
+448% +$17.2K
PXD
363
DELISTED
Pioneer Natural Resource Co.
PXD
$21K 0.02%
138
-974
-88% -$148K
C icon
364
Citigroup
C
$178B
$20K 0.02%
+364
New +$20K
CLB icon
365
Core Laboratories
CLB
$588M
$20K 0.02%
170
HRB icon
366
H&R Block
HRB
$6.82B
$19K 0.02%
569
+513
+916% +$17.1K
URI icon
367
United Rentals
URI
$61.7B
$19K 0.02%
+184
New +$19K
SWY
368
DELISTED
SAFEWAY INC
SWY
$19K 0.02%
544
+492
+946% +$17.2K
ATI icon
369
ATI
ATI
$10.7B
$18K 0.02%
+524
New +$18K
CMG icon
370
Chipotle Mexican Grill
CMG
$55.4B
$18K 0.02%
1,300
+1,150
+767% +$15.9K
FWONA icon
371
Liberty Media Series A
FWONA
$22.6B
$18K 0.02%
744
-238
-24% -$5.76K
TECH icon
372
Bio-Techne
TECH
$8.22B
$18K 0.02%
800
MDCO
373
DELISTED
Medicines Co
MDCO
$18K 0.02%
660
GMCR
374
DELISTED
KEURIG GREEN MTN INC
GMCR
$18K 0.02%
135
+119
+744% +$15.9K
MOCO
375
DELISTED
Mocon Inc
MOCO
$18K 0.02%
1,000