Kalos Management, Inc. Q2 2023 vs. Q3 2023: Analyzing Fund Holdings and Changes
Ava Hoppe | 24 October, 2023
Kalos Management, Inc. is a renowned investment management company that handles a diverse portfolio of funds. In this blog post, we will analyze the changes in their holdings from Q2 2023 to Q3 2023. Understanding these shifts is crucial for investors looking to align their portfolios with the latest trends. Let's delve deeper into the comparison. Fund Holdings Comparison:
- SCHWAB STRATEGIC TR (SCHB):
- Q2 2023 (SHARES): 110,184
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 5,696
- Q3 2023 VALUE ($000): 0
- Change (%): -100
- SCHWAB STRATEGIC TR (SCHX):
- Q2 2023 (SHARES): 62,783
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 3,287
- Q3 2023 VALUE ($000): 0
- Change (%): -100
- SPDR S&P 500 ETF TR (SPY):
- Q2 2023 (SHARES): 6,596
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 2,923
- Q3 2023 VALUE ($000): 0
- Change (%): -100
- SCHWAB STRATEGIC TR (SCHO):
- Q2 2023 (SHARES): 41,228
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 1,981
- Q3 2023 VALUE ($000): 0
- Change (%): -100
- SCHWAB STRATEGIC TR (SCHD):
- Q2 2023 (SHARES): 24,054
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 1,746
- Q3 2023 VALUE ($000): 0
- Change (%): -100
- VANGUARD WORLD FDS (VPU):
- Q2 2023 (SHARES): 10,858
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 1,543
- Q3 2023 VALUE ($000): 0
- Change (%): -100
- ISHARES TR (IYH):
- Q2 2023 (SHARES): 5,491
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 1,538
- Q3 2023 VALUE ($000): 0
- Change (%): -100
- SCHWAB STRATEGIC TR (SCHV):
- Q2 2023 (SHARES): 22,557
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 1,513
- Q3 2023 VALUE ($000): 0
- Change (%): -100
- PHILLIPS EDISON & CO INC (PECO):
- Q2 2023 (SHARES): 44,261
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 1,508
- Q3 2023 VALUE ($000): 0
- Change (%): -100
- VANGUARD INDEX FDS (VTV):
- Q2 2023 (SHARES): 10,326
- Q3 2023 (SHARES): 0
- Q2 2023 VALUE ($000): 1,467
- Q3 2023 VALUE ($000): 0
- Change (%): -100 Please note that the above list presents only a few sample entries from the complete dataset. Analyzing the Data: From the provided data, it is evident that Kalos Management, Inc. has made significant changes in their holdings from Q2 2023 to Q3 2023. However, as we do not have complete information about all the holdings, this analysis will focus on understanding the general trends. Based on the sample data, all the mentioned funds experienced a 100% reduction in shares and value during this period. While it is unusual for funds to completely divest their positions, this strategic shift suggests a significant change in Kalos Management, Inc.'s investment approach. Possible Reasons for the Changes:
- Market Conditions: The decision to reduce or eliminate holdings could be influenced by adverse market conditions or a reevaluation of investment strategies due to volatility or changing trends.
- Rebalancing: Fund managers may periodically rebalance their portfolios to maintain an optimal asset allocation based on market conditions, risk appetite, and investment objectives. This could result in the reduction of certain holdings.
- Sectoral Shifts: With the evolution of sectors and emerging industries, fund managers may choose to reallocate their investments to capitalize on new opportunities, potentially leading to a reduction in previous holdings.
- New Investments: The reduction in certain holdings could also be linked to fresh investments in other funds or stocks that seem more promising to Kalos Management, Inc.'s investment team.
- Regulatory Factors: Changes in regulations or compliance requirements can also influence fund managers' decisions, potentially leading to alterations in their holdings. Remember, these are just speculations based on the limited information provided in the CSV. The complete dataset would provide a clearer picture of the reasoning behind the changes. Conclusion: Kalos Management, Inc.'s Q2 2023 vs. Q3 2023 13F Holdings Comparison reveals a significant reduction or elimination of holdings in various funds. While we cannot elucidate the specific reasons behind these changes without complete information about the entire portfolio, potential factors include market conditions, rebalancing, sectoral shifts, new investments, or regulatory factors. Investors and financial analysts should closely monitor fund holdings to stay informed about changing dynamics and adjust their investment strategies accordingly. Disclaimer: The information provided in this article is for informational purposes only and should not be regarded as financial advice. Investors are advised to conduct their own research and consult with a qualified financial advisor before making any investment decisions.
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