Zurich Cantonal Bank

Zurich Cantonal Bank Portfolio holdings

AUM $40.9B
1-Year Return 22.88%
This Quarter Return
+1.36%
1 Year Return
+22.88%
3 Year Return
+106.76%
5 Year Return
+189.8%
10 Year Return
+428.78%
AUM
$2.86B
AUM Growth
Cap. Flow
+$2.86B
Cap. Flow %
99.84%
Top 10 Hldgs %
25.62%
Holding
983
New
980
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Financials 26.4%
2 Healthcare 16.02%
3 Energy 12.1%
4 Technology 9.34%
5 Industrials 6.62%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SWY
551
DELISTED
SAFEWAY INC
SWY
$559K 0.02%
+26,411
New +$559K
NFLX icon
552
Netflix
NFLX
$537B
$558K 0.02%
+18,494
New +$558K
CMG icon
553
Chipotle Mexican Grill
CMG
$52.9B
$549K 0.02%
+75,300
New +$549K
TRMB icon
554
Trimble
TRMB
$19.3B
$548K 0.02%
+21,062
New +$548K
PAYX icon
555
Paychex
PAYX
$48.7B
$547K 0.02%
+14,975
New +$547K
DISCA
556
DELISTED
Discovery, Inc. Series A Common Stock
DISCA
$541K 0.02%
+13,713
New +$541K
SIRI icon
557
SiriusXM
SIRI
$8.17B
$540K 0.02%
+16,122
New +$540K
WYNN icon
558
Wynn Resorts
WYNN
$12.8B
$534K 0.02%
+4,175
New +$534K
JNPR
559
DELISTED
Juniper Networks
JNPR
$530K 0.02%
+27,446
New +$530K
BKD icon
560
Brookdale Senior Living
BKD
$1.84B
$529K 0.02%
+20,000
New +$529K
PFG icon
561
Principal Financial Group
PFG
$17.8B
$529K 0.02%
+14,131
New +$529K
MAR icon
562
Marriott International Class A Common Stock
MAR
$72.8B
$528K 0.02%
+13,078
New +$528K
ICFI icon
563
ICF International
ICFI
$1.76B
$526K 0.02%
+16,700
New +$526K
DF
564
DELISTED
Dean Foods Company
DF
$526K 0.02%
+26,250
New +$526K
BBL
565
DELISTED
BHP Group Plc American Depositary Shares (Each representing two Ordinary Shares)
BBL
$513K 0.02%
+10,000
New +$513K
HSP
566
DELISTED
HOSPIRA INC
HSP
$512K 0.02%
+13,369
New +$512K
PWR icon
567
Quanta Services
PWR
$56B
$506K 0.02%
+19,126
New +$506K
NYX
568
DELISTED
NYSE EURONEXT INC
NYX
$506K 0.02%
+12,213
New +$506K
KMX icon
569
CarMax
KMX
$9.21B
$505K 0.02%
+10,934
New +$505K
AU icon
570
AngloGold Ashanti
AU
$31.3B
$501K 0.02%
+35,000
New +$501K
IMGN
571
DELISTED
Immunogen Inc
IMGN
$498K 0.02%
+30,000
New +$498K
HSH
572
DELISTED
HILLSHIRE BRANDS CO
HSH
$496K 0.02%
+15,000
New +$496K
XLE icon
573
Energy Select Sector SPDR Fund
XLE
$26.6B
$494K 0.02%
+6,300
New +$494K
AME icon
574
Ametek
AME
$43.6B
$492K 0.02%
+11,623
New +$492K
MDR
575
DELISTED
McDermott International
MDR
$491K 0.02%
+20,000
New +$491K