SI

SCOUT INVESTMENTS, INC.

13F
SCOUT INVESTMENTS, INC.
Last update 2024-08-12 193 Stocks (15 new)
Value $3.72 Bil Turnover 10 %
Countries:
Portfolio Report

SCOUT INVESTMENTS, INC. Profile

Scout Investments is an investment management company based out of Kansas City, Missouri. The company was founded in 1982 and would become registered with the SEC as an investment advisory firm in 2001. Scout Investments began with three mutual funds and would grow to expand its line of offerings, becoming an independent subsidiary of UMB Financial Corp. in 2009. The company was previously known as Scout Investment Advisors and has most recently acquired Reams Asset Management in 2010. Scout Investments utilizes fundamental analysis to make its investment decisions, allocating its assets in the stocks of companies in the public equity and fixed income markets on a global scale across all major capitalizations. The company benchmarks its performance against various S&P 500, MSCI, and Russell indexes. Scout Investments is currently headed by Andrew J. Iseman and has 95 employees with 38 of them being investment professionals. The company invests most heavily in the finance sector, which alone makes up almost a quarter of its total asset allocations, and also invests in the consumer discretionary, information technology, health care, energy, consumer staples, materials, and industrials sectors, among others to a lesser degree, in order of decreasing allocation. Scout Investments currently holds over $31 billion in total assets under management spread across 577 accounts, all of which are discretionary. Both of its total number of accounts and managed assets have increased in recent years with its total assets under management growing significantly from $6.5 billion to almost 5 times that amount today. Scout Investments mainly caters to individuals, which alone makes up over half of its client base, and also provides services to state or municipal entities, corporations, pooled investment vehicles, charities, pension and profit sharing plans, and others, in order of decreasing clientele. The company’s offering of mutual funds currently includes its Core Bond, Low Duration, Emerging Markets, Equity Opportunity, and Global Equity Funds, among others.
SCOUT INVESTMENTS, INC. Top Holdings of 2024-06-30 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
PLTR
Palantir Technologies Inc
3,018,021
76446.470
-52.70%
2.050
-1.89%
0.130
+47.83%
+148.05%
95378.337
Software
EW
Edwards Lifesciences Corp
780,657
72109.290
-6.62%
1.940
-0.13%
0.130
-18.89%
-7.40%
42535.464
Medical Devices & Instruments
FHN
First Horizon Corp
4,412,072
69578.380
-13.61%
1.870
-0.26%
0.820
+5.07%
+25.27%
9155.720
Banks
VNOM
Viper Energy Inc
1,833,876
68825.370
-5.20%
1.850
-0.09%
2.010
+23.89%
+72.49%
5326.478
Oil & Gas
CNP
CenterPoint Energy Inc
1,955,765
60589.600
-5.72%
1.630
-0.08%
0.300
+4.47%
+6.43%
19388.705
Utilities - Regulated
CASY
Casey's General Stores Inc
158,059
60308.990
-11.72%
1.620
-0.16%
0.430
+3.80%
+42.73%
14214.455
Retail - Cyclical
PWR
Quanta Services Inc
231,346
58782.710
-9.04%
1.580
-0.15%
0.160
+15.98%
+42.23%
45175.730
Construction
CBOE
Cboe Global Markets Inc
337,712
57431.300
-14.05%
1.540
-0.25%
0.320
+16.91%
+20.68%
22344.615
Capital Markets
ADC
Agree Realty Corp
910,887
56420.340
-6.03%
1.520
-0.08%
0.910
+16.18%
+26.26%
7938.119
REITs
EVR
Evercore Inc
262,147
54639.300
-4.55%
1.470
-0.06%
0.680
+5.90%
+52.42%
9880.609
Capital Markets

SCOUT INVESTMENTS, INC.'s Historical Top Holdings Breakdowns

SCOUT INVESTMENTS, INC.'s Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
PLTR
Palantir Technologies Inc2024-06-30Reduce
-1.89%
20.47 ($22.52) 25.82
$42.59
89.12%
Reduce -52.7%
3,018,021
-3,362,008
SN
SharkNinja Inc2024-06-30New Buy
+0.71%
61.22 ($70.43) 79.9
$109.53
55.52%
New holding
353,887
353,887
ATI
ATI Inc2024-06-30New Buy
+0.66%
49.1 ($56.03) 61.61
$62.86
12.19%
New holding
444,305
444,305
SMCI
Super Micro Computer Inc2024-06-30Reduce
-0.64%
71.37 ($85.48) 103.72
$45.36
-46.93%
Reduce -47.91%
273,770
-25,184
BMRN
Biomarin Pharmaceutical Inc2024-06-30Reduce
-0.62%
74.43 ($83.25) 92.22
$69.98
-15.94%
Reduce -42.56%
388,205
-287,663
EQT
EQT Corp2024-06-30New Buy
+0.61%
36.04 ($39.18) 41.92
$36.19
-7.63%
New holding
609,910
609,910
PODD
Insulet Corp2024-06-30Sold Out
-0.60%
161.02 ($180.2) 206.98
$234.84
30.32%
Sold Out
0
-144,606
CRWD
CrowdStrike Holdings Inc2024-06-30Reduce
-0.58%
282.64 ($332.59) 390.43
$299.30
-10.01%
Reduce -59.58%
49,823
-73,425
CELH
Celsius Holdings Inc2024-06-30New Buy
+0.57%
55.86 ($75.59) 96.09
$30.46
-59.70%
New holding
371,988
371,988
ANET
Arista Networks Inc2024-06-30Reduce
-0.51%
245.47 ($297.4) 350.48
$394.04
32.49%
Reduce -57.57%
51,341
-69,653

SCOUT INVESTMENTS, INC. Total Holding History ($B)

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SCOUT INVESTMENTS, INC.'s Asset Allocation

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SCOUT INVESTMENTS, INC. Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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SCOUT INVESTMENTS, INC.'s Hypothetical Growth since 2024-06-30

SCOUT INVESTMENTS, INC.'s Yearly Returns

Year Portfolio % % Excess Gain %

SCOUT INVESTMENTS, INC.'s Holdings Heat Map

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SCOUT INVESTMENTS, INC.'s Holdings Bubble Chart

SCOUT INVESTMENTS, INC. News

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