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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
QTS Realty Trust, Inc. QTSCommon41,854-74,1781,932,000-3,288,00006/30/2019
ALLETE INC ALECommon21,754-43,4231,810,000-3,549,00006/30/2019
National Bank Holdings Corp NBHCCL A46,983-70,8291,705,000-2,213,00006/30/2019
GENESEE & WYOMING INC GWRCommon16,388-26,0601,638,000-2,060,00006/30/2019
EURONET WORLDWIDE, INC. EEFTCommon9,516-20,3721,600,000-2,661,00006/30/2019
AerCap Holdings N.V. AERCommon30,581-49,7241,590,000-2,147,00006/30/2019
HMS HOLDINGS CORP HMSYCommon48,667-84,4751,576,000-2,366,00006/30/2019
MERIT MEDICAL SYSTEMS INC MMSICommon26,439-45,3001,574,000-2,861,00006/30/2019
MONRO, INC. MNROCOM18,405-42,6031,569,000-3,709,00006/30/2019
NOVANTA INC NOVTCOM15,943-5411,503,000107,00006/30/2019
COLUMBUS MCKINNON CORP CMCOCommon35,745-1181,500,000269,00006/30/2019
CARTERS INC CRICommon15,181-23,6681,480,000-2,435,00006/30/2019
ELECTRONICS FOR IMAGING INC EFIICommon39,662-78,8251,463,000-1,724,00006/30/2019
ITRON, INC. ITRICommon23,334-37,4181,460,000-1,374,00006/30/2019
1 800 FLOWERS COM INC FLWSCL A76,428-97,2851,442,000-1,724,00006/30/2019
MERCURY SYSTEMS INC MRCYCommon20,386-3,0461,434,000-67,00006/30/2019
BOTTOMLINE TECHNOLOGIES INC EPAYCommon32,231-54,4141,425,000-2,915,00006/30/2019
ALBANY INTERNATIONAL CORP /NY/ AINCommon17,008-32,1481,410,000-2,109,00006/30/2019
CHEMED CORP CHECommon3,692-7,2531,332,000-2,171,00006/30/2019
UNITIL CORP UTLCOMMON21,616-661,294,000120,00006/30/2019
CASELLA WASTE SYSTEMS INC CWSTCommon32,116-7,3121,272,000-130,00006/30/2019
ACI WORLDWIDE, INC. ACIWCommon37,017-67,9741,271,000-2,180,00006/30/2019
ROGERS CORP ROGCommon7,155-12,0941,234,000-1,824,00006/30/2019
SP Plus Corp SPCommon38,578-871,231,000-88,00006/30/2019
ASGN Inc ASGNCommon19,871-31,8251,204,000-2,078,00006/30/2019
CAI International, Inc. CAICOMMON STOCK47,132-1081,169,00074,00006/30/2019
Acadia Healthcare Company, Inc. ACHCCOM33,322-47,4121,164,000-1,202,00006/30/2019
ASPEN TECHNOLOGY INC AZPNCommon9,325-15,1621,158,000-1,395,00006/30/2019
CHARLES RIVER LABORATORIES INTERNATIONAL, INC. CRLCommon8,146-19,9501,155,000-2,925,00006/30/2019
STAG Industrial, Inc. STAGCommon37,952-2361,147,00015,00006/30/2019
Community Healthcare Trust Inc CHCTCOM27,946-531,101,00097,00006/30/2019
Ardmore Shipping Corp ASCCommon134,515-5851,096,000264,00006/30/2019
ADVANCED ENERGY INDUSTRIES INC AEISCOM19,115-31,9051,075,000-1,459,00006/30/2019
BARNES GROUP INC BCommon18,967-36,3291,068,000-1,774,00006/30/2019
DYCOM INDUSTRIES INC DYCommon18,050-31,3131,062,000-1,205,00006/30/2019
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