Rehmann Capital Advisory Group Q3 2018 Filing

Filed November 20, 2018

Portfolio Value

$788.9M

Holdings

1,020

Report Date

Q3 2018

Filing Type

13F-HR

All Holdings (1,020 positions)

StockValue
SYU1SYNOVUSFINLCORP
$343K
LGNDLIGANDPHARMACEUTICALSINC
$342K
FNYFIRSTTREXCNGETRDALPHADEX
$340K
PINNACLEFOODSINCDEL
$334K
VRTXVERTEXPHARMACEUTICALSINC
$334K
VMOINVESCOMUNOPPORTUNITYTR
$333K
SENIORHSGPPTYSTR
$328K
PVACUSDPENNVACORPNEW
$327K
ITTITTINC
$326K
SHIPFINANCEINTERNATIONALL
$326K
IBDPISHARESTR
$326K
DEIDOUGLASEMMETTINC
$321K
ISRGINTUITIVESURGICALINC
$320K
CSGPCOSTARGROUPINC
$319K
IBKRINTERACTIVEBROKERSGROUPIN
$319K
SBCSABRAHEALTHCAREREITINC
$316K
JXC1J2GLOBALINC
$315K
CHKPCHECKPOINTSOFTWARETECHLT
$312K
BWXTBWXTECHNOLOGIESINC
$312K
DISHDISHNETWORKCORP
$311K
TMHCTAYLORMORRISONHOMECORP
$309K
HDSUSDHDSUPPLYHLDGSINC
$308K
POOLPOOLCORPORATION
$307K
ABSOLUTESHSTR
$307K
TRNOTERRENORLTYCORP
$304K
CBRLCRACKERBARRELOLDCTRYSTOR
$304K
FRFIRSTINDUSTRIALREALTYTRUS
$304K
CWBSPDRSERIESTRUST
$304K
NEARISHARESUSETFTR
$304K
ZTOZTOEXPRESSCAYMANINC
$304K
ALAIRLEASECORP
$303K
EDITEDITASMEDICINEINC
$300K
FPFFIRSTTRINTERDURPFD&IN
$291K
KAPSTONEPAPER&PACKAGINGC
$291K
MTLSMATERIALISENV
$289K
DPZDOMINOSPIZZAINC
$289K
KDPKEURIGDRPEPPERINC
$289K
CLBCORELABORATORIESNV
$285K
ULTAULTABEAUTYINC
$284K
MCHIISHARESTR
$283K
AKAMAKAMAITECHNOLOGIESINC
$283K
FTSLFIRSTTREXCHANGETRADEDFD
$281K
LITGLOBALXFDS
$278K
OPKOPKOHEALTHINC
$278K
EQNREQUINORASA
$276K
OUSAGBPOSIETFTR
$275K
WTWWILLISTOWERSWATSONPUBLTD
$270K
NTESNETEASEINC
$266K
RPREALPAGEINC
$265K
CTVHELIXENERGYSOLUTIONSGRPI
$264K
RSPGINVESCOEXCHANGETRADEDFDT
$258K
SMDVPROSHARESTR
$255K
JHXJAMESHARDIEINDSPLC
$255K
IRTINDEPENDENCERLTYTRINC
$255K
AYIACUITYBRANDSINC
$255K
AERAERCAPHOLDINGSNV
$254K
EBSEMERGENTBIOSOLUTIONSINC
$253K
GLPIGAMING&LEISUREPPTYSINC
$253K
HGVHILTONGRANDVACATIONSINC
$251K
SPXFLOWINC
$250K
VSMEURVERSUMMATLSINC
$249K
ELPCCOMPANHIAPARANAENSEENERGC
$243K
EWTISHARESINC
$242K
CXWCORECIVICINC
$242K
PUKNPRUDENTIALPLC
$241K
RCLROYALCARIBBEANCRUISESLTD
$238K
WBILABSOLUTESHSTR
$238K
NUVEENSHTDURCROPPFD
$237K
FNIUSDFIRSTTREXCHANGETRADEDFD
$237K
COLONYCAPINCNEW
$237K
AIMMUNETHERAPEUTICSINC
$237K
INVESCOEXCHTRDSLFIDXFD
$235K
JRVRJAMESRIVGROUPLTD
$233K
JPINJPMORGANEXCHANGETRADEDFD
$232K
DEAEASTERLYGOVTPPTYSINC
$230K
HPTUSDHOSPITALITYPPTYSTR
$227K
NWSANEWSCORPNEW
$225K
ADTNEURADTRANINC
$218K
CXOEURCONCHORESINC
$217K
HANWHAQCELLCOLTD
$217K
JLLJONESLANGLASALLEINC
$217K
VTWGVANGUARDSCOTTSDALEFDS
$214K
ETJEATONVANCERISKMNGDDIVEQ
$212K
DIPLOMATPHARMACYINC
$210K
RBCRBCBEARINGSINC
$209K
AWNADVANCEAUTOPARTSINC
$209K
CAHCARDINALHEALTHINC
$207K
PAYCPAYCOMSOFTWAREINC
$206K
APY1USDAPERGYCORP
$205K
SIVBEURSVBFINLGROUP
$205K
XYLXYLEMINC
$200K
NXSTAGEMEDICALINC
$200K
AYXEURALTERYXINC
$200K
DLNGDYNAGASLNGPARTNERSLP
$200K
PRGOPERRIGOCOPLC
$199K
VIRTUSTOTALRETURNFUNDINC
$195K
RNRRENAISSANCEREHOLDINGSLTD
$195K
ICHRICHORHOLDINGS
$192K
VEONEERINCORPORATED
$191K
PWVINVESCOEXCHANGETRADEDFDT
$187K
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