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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Prestige Consumer Healthcare Inc. PBHCommon236,944-809,0526,905,000-14,046,00006/30/2013
Gen Digital Inc. SYMCCommon1,943,733-1,030,93743,695,000-12,288,00006/30/2013
AVID TECHNOLOGY, INC. AVIDCommon1,225,470-798,7087,206,000-8,137,00006/30/2013
MSA Safety Inc MSACommon138,826-191,9406,462,000-7,665,00006/30/2013
GOLAR LNG LTD GLNGCommon918,939-13,80029,305,000-5,001,00006/30/2013
CORELOGIC, INC. CLGXcommon790,282-71,99618,311,000-4,902,00006/30/2013
Everi Holdings Inc. GCACommon2,529,790-92,85015,836,000-4,725,00006/30/2013
QUALCOMM INC/DE QCOMCommon479,617-40,11429,300,000-2,850,00006/30/2013
Covidien plc COVCOM385,198-77,29124,206,000-2,498,00006/30/2013
CA, INC. CACommon1,897,858-637,25054,317,000-1,405,00006/30/2013
MARCUS CORP MCSCommon793,254-127,53110,090,000-1,392,00006/30/2013
DOVER DOWNS GAMING & ENTERTAINMENT INC DDECommon1,693,862-63,7282,625,000-1,242,00006/30/2013
AUTONATION, INC. ANCommon187,410-38,0808,132,000-820,00006/30/2013
TIBCO SOFTWARE INC TIBXCommon230,781-25,9294,940,000-702,00006/30/2013
RAYMOND JAMES FINANCIAL INC RJFCommon607,253-85,63326,100,000-597,00006/30/2013
BIO-RAD LABORATORIES, INC. BIOCommon16,452-5,3301,846,000-442,00006/30/2013
TRIUMPH GROUP INC TGICommon99,145-25,1367,847,000-269,00006/30/2013
INTERNATIONAL BUSINESS MACHINES CORP IBMCommon3,064-1,115586,000-214,00006/30/2013
BROOKLINE BANCORP INC BRKLCommon98,855-19,300858,000-146,00006/30/2013
LAM RESEARCH CORP LRCXCommon275,061-65,18612,196,000-97,00006/30/2013
WSFS FINANCIAL CORP WSFSCommon25,413-8,2001,331,000-89,00006/30/2013
PROGRESS SOFTWARE CORP /MA PRGSCommon141,599-14,9523,258,000-28,00006/30/2013
POPE RESOURCES LTD PARTNERSHIP POPEZCommon102,564-26,4057,179,000-2,00006/30/2013
PREMIER FINANCIAL CORP FDEFCommon21,554-3,698486,0001,00006/30/2013
INDEPENDENT BANK CORP INDBCommon28,148-5,000971,00011,00006/30/2013
ALERE INC. ALR/PBPreferred5,362-3051,206,000157,00006/30/2013
BANK OF HAWAII CORP BOHCommon171,528-20,5848,631,000168,00006/30/2013
Golar LNG Partners LP GMLPCommon129,858-11,1424,428,000219,00006/30/2013
ULTRA PETROLEUM CORP UPLCommon992,938-71,70019,680,000378,00006/30/2013
Noble Finance Co NECommon605,372-36,82322,750,000389,00006/30/2013
GLACIER BANCORP, INC. GBCICommon98,215-18,2332,179,000466,00006/30/2013
OPPENHEIMER HOLDINGS INC OPYCommon593,275-31,05211,296,000514,00006/30/2013
FIRST FINANCIAL HOLDINGS INC /DE/ FFCHCommon145,088-26,2503,077,000836,00006/30/2013
ZIMMER BIOMET HOLDINGS, INC. ZBHCommon302,454-24,25722,666,000887,00006/30/2013
Gildan Activewear Inc. GILCOM509,146-30,25920,626,000895,00006/30/2013
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