- Compare:
Chart data reflects last close values.
Bluefin's style
- Conglomerates 70.17%
- Healthcare 15.89%
- Utilities 13.94%
Bluefin's bio
- Risk Group(4.6/10) Moderate
- RankTop 57%
- Return Today9.22%
- Return 1 Month-20.47%
- Return 3 Months-41.72%
- Return YTD-41.61%
- Trades/Month0.00
- Member SinceAug 08
- Sectors Conglomerates
Bluefin's major holdings
- % of Portfolio
- Mitsui & Company, Ltd.41.79%
- 3M Company16.11%
- United Technologies Corporation.12.27%
- Amedisys Inc10.00%
- Idacorp Inc.7.50%
- Avista Corporation4.65%
- Mindray Medical International Limited3.89%
- WellCare Health Plans, Inc.2.00%
- Calpine Corporation1.79%