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GTAPX

Glenmede Long/Short Portfolio
1W: +2.0% 1M: +0.8% 3M: +3.0% YTD: +3.7% 1Y: -0.1% 3Y: +0.8% 5Y: +14.8%
$13.35
-0.01 (-0.07%)
 
ETF NASDAQ · AUM $39.5M
ETF-Level Metrics
AUM$40M
Holdings132
Top 10 Wt22.7%
Beta0.19
% Profitable86%
Coverage34%
Portfolio Valuation
P/E17.2
P/B3.4
P/S2.9
EV/EBITDA14.6
P/FCF18.6
PEG0.67
Profitability & Returns
Gross Margin44.4%
Net Margin16.6%
ROE20.6%
ROA16.7%
ROIC23.6%
Div Yield0.21%
Leverage & Liquidity
Debt/Equity0.08
Debt/Assets0.06
Net Debt/EBITDA-0.8x
Interest Cov-32.4x
Current Ratio6.40
Quick Ratio7.70
Growth (YoY)
Revenue+3.4%
Net Income+47.3%
EPS+55.0%
FCF+29.2%
EBITDA-5.5%
Rev CAGR 3Y-2.0%
Quality Scores
Piotroski F8.3
Altman Z-89.90
IS Quality99.7
IS Overall80.9
IS Value89.4
Median P/E22.9

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 19 10.3% -12.0
Healthcare 7 6.5% 9.6
Financial Services 24 5.2% 18.1
Other 2 3.6%
Real Estate 11 2.8% 18.2
Consumer Defensive 5 2.4% 13.3
Communication Services 7 2.3% 78.7
Energy 3 2.0% 11.1
Basic Materials 1 1.8% 15.8
Utilities 6 1.0% 19.1
Consumer Cyclical 20 0.7% 2491.7
Industrials 29 -0.2% 57.6

Smart Money Overlap

5 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
CME CME Group Inc. 1.32% 4 Bullish 11 1 -5.6%
META Meta Platforms, Inc. 1.03% 4 Bullish 42 14 +0.2%
VRSK Verisk Analytics, Inc. -0.47% 4 Bullish 12 1 +1.4%
KKR KKR & Co. Inc. -0.94% 4 Bullish 13 1 -5.2%
CARR Carrier Global Corporation -1.18% 4 Bullish 12 1 +2.3%
Showing 50 of 134 holdings · Page 1 of 3
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Fixed Income Clearing Corp Private 3.61% $1.4M 1,407,178
2 Amphenol Corp APH 2.44% $951,692 6,830 36.9 $158.2B Technology
3 Sanmina Corp SANM 2.43% $945,645 6,900 32.6 $7.6B Technology
4 Lam Research Corp LAR.DE 2.39% $932,163 5,920 47.3 $97.2B Technology
5 AECOM ACM 2.35% $916,267 6,820 24.7 $11.4B Industrials
6 MGIC Investment Corp MTG 2.25% $875,246 31,920 8.0 $5.6B Financial Services
7 Janus Henderson Group PLC 0RPW.L 2.24% $873,814 20,060 9.6 $7.8B Financial Services
8 ITT Inc ITT 2.19% $851,322 4,600 31.7 $16.7B Industrials
9 Mueller Industries Inc MLI 2.18% $849,077 8,020 16.0 $12.4B Industrials
10 EMCOR Group Inc EME 2.13% $831,209 1,230 27.1 $34.2B Industrials
11 NiSource Inc NI 2.12% $825,356 19,600 23.2 $21.9B Utilities
12 Unum Group UNM 2.10% $816,504 11,121 16.9 $12.5B Financial Services
13 WESCO International Inc WCC 2.09% $814,924 3,140 21.4 $13.5B Industrials
14 SkyWest Inc SKYW 1.97% $767,667 7,640 8.8 $3.8B Industrials
15 eBay Inc EBAY 1.97% $767,566 9,440 19.9 $40.5B Consumer Cyclical
16 Applied Materials Inc AMAT 1.94% $755,244 3,240 37.4 $293.1B Technology
17 Amdocs Ltd DOX 1.90% $741,488 8,800 12.4 $7.1B Technology
18 Twilio Inc TWLO 1.84% $714,864 5,300 564.8 $19.0B Communication Services
19 TJX Cos Inc/The TJX 1.80% $700,700 5,000 32.7 $177.8B Consumer Cyclical
20 Commercial Metals Co CMC 1.76% $683,827 11,520 15.8 $6.9B Basic Materials
21 Rush Enterprises Inc RUSHA 1.75% $680,870 13,780 19.7 $5.2B Consumer Cyclical
22 Genpact Ltd G 1.68% $655,417 17,180 11.7 $6.4B Technology
23 Gates Industrial Corp PLC GTES 1.68% $654,010 29,620 24.1 $6.1B Industrials
24 Radian Group Inc RDN 1.65% $642,145 18,920 7.8 $4.5B Financial Services
25 Jones Lang LaSalle Inc JLL 1.60% $622,384 2,040 17.9 $14.2B Real Estate
26 Elanco Animal Health Inc ELAN 1.57% $610,011 27,540 -54.6 $12.7B Healthcare
27 Fox Corp FOXA 1.56% $607,710 9,400 13.4 $26.1B Communication Services
28 Jacobs Solutions Inc J 1.55% $604,543 3,880 35.4 $15.4B Industrials
29 Baker Hughes Co 68V.DE 1.55% $604,157 12,480 23.9 $53.3B Energy
30 Urban Outfitters Inc URBN 1.55% $603,457 9,340 11.9 $5.5B Consumer Cyclical
31 Aptiv PLC 0YCP.L 1.53% $596,896 7,360 94.8 $13.7B Consumer Cyclical
32 Adtalem Global Education Inc ATGE 1.51% $586,160 5,980 16.7 $3.9B Consumer Defensive
33 VICI Properties Inc VICI 1.49% $580,007 19,340 10.4 $28.9B Real Estate
34 Merit Medical Systems Inc MMSI 1.48% $577,764 6,600 31.5 $4.0B Healthcare
35 Cognizant Technology Solutions Corp CTSH 1.42% $552,430 7,580 12.9 $28.9B Technology
36 Catalyst Pharmaceuticals Inc CPRX 1.40% $547,064 25,720 13.6 $2.9B Healthcare
37 CBRE Group Inc CBRE 1.35% $524,359 3,440 34.6 $40.1B Real Estate
38 CME Group Inc CME 1.32% $515,051 1,940 26.1 $105.7B Financial Services
39 PayPal Holdings Inc PYPL 1.31% $508,442 7,340 8.0 $42.0B Financial Services
40 Dropbox Inc DBX 1.30% $504,600 17,400 11.2 $6.1B Technology
41 IQVIA Holdings Inc IQV 1.23% $480,541 2,220 20.7 $28.1B Healthcare
42 Cal-Maine Foods Inc CALM 1.22% $475,876 5,420 3.3 $3.7B Consumer Defensive
43 Old National Bancorp/IN ONB 1.22% $473,690 23,186 12.6 $8.5B Financial Services
44 Brixmor Property Group Inc BRX 1.18% $458,323 17,520 22.8 $8.8B Real Estate
45 Edison International EIX 1.16% $453,008 8,180 5.9 $27.4B Utilities
46 Okta Inc OKTA 1.08% $421,038 4,600 58.9 $13.2B Technology
47 Envista Holdings Corp NVST 1.05% $409,035 20,100 91.4 $4.3B Healthcare
48 STAG Industrial Inc STAG 1.05% $407,958 10,660 24.7 $6.9B Real Estate
49 Intercontinental Exchange Inc ICE 1.04% $406,686 2,780 27.1 $89.4B Financial Services
50 Meta Platforms Inc META 1.03% $401,977 620 24.8 $1.5T Communication Services

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms