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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
INTEL CORP INTCCommon2,056,4250123,036,00011,742,00006/30/2020
S&W Seed Co SANWCommon15,977,491036,429,0003,675,00006/30/2020
Dolby Laboratories, Inc. DLBCl A543,255035,784,0006,335,00006/30/2020
pdvWireless, Inc. ATEXCOM490,000445,06922,217,00020,165,00006/30/2020
BANC OF CALIFORNIA, INC. BANCCOM1,337,500014,485,0003,785,00006/30/2020
CIT GROUP INC CITCOM670,600013,901,0002,326,00006/30/2020
HEXCEL CORP /DE/ HXLCommon267,500217,50012,096,00010,236,00006/30/2020
POPULAR INC BPOPCOM NEW313,296011,645,000680,00006/30/2020
Atlantic Capital Bancshares, Inc. ACBICOM950,093011,553,000275,00006/30/2020
Investors Bancorp Inc ISBCCOM1,305,000011,093,000666,00006/30/2020
AMAZON COM INC AMZNCommon3,50009,656,0002,832,00006/30/2020
BCB BANCORP INC BCBPCOM1,020,40809,469,000-1,398,00006/30/2020
TIFFANY & CO TIFCommon76,00051,0009,267,0006,029,00006/30/2020
Trinity Place Holdings Inc. TPHSCommon6,708,53809,258,000-2,952,00006/30/2020
FMC CORP FMCCommon89,400-2,6008,906,0001,391,00006/30/2020
VORNADO REALTY TRUST VNOSH BEN INT227,39330,0008,689,0001,541,00006/30/2020
WATERSTONE FINANCIAL INC WSBFCOM574,300-278,2068,517,000-3,878,00006/30/2020
NI Holdings, Inc. NODKCOM528,79107,810,000640,00006/30/2020
FRANKLIN RESOURCES INC BENCommon342,53007,183,0001,467,00006/30/2020
SIGA TECHNOLOGIES INC SIGACmn1,205,90007,127,0001,363,00006/30/2020
TEJON RANCH CO TRCCommon455,23106,555,000154,00006/30/2020
BLACKBERRY Ltd BBCOM1,333,00065,0006,518,0001,281,00006/30/2020
Crimson Wine Group, Ltd CWGLCommon Stock1,124,84911,2536,074,000-435,00006/30/2020
TEXTRON INC TXTCommon169,700169,7005,585,0005,585,00006/30/2020
NEWS CORP NWSACL A465,00005,515,0001,342,00006/30/2020
FLIR SYSTEMS INC FLIRCommon131,4364,5005,332,0001,284,00006/30/2020
Alphabet Inc. GOOGLCOM3,7507505,318,0001,832,00006/30/2020
LEUCADIA NATIONAL CORP JEFCommon337,50037,1725,248,0001,143,00006/30/2020
LYNCH INTERACTIVE CORP LICTCom27504,648,000523,00006/30/2020
MERCANTILE BANKSHARES CORP MRBKCOMMON276,277-23,6134,379,000277,00006/30/2020
WESTLAKE CHEMICAL CORP WLKCommon80,00004,292,0001,238,00006/30/2020
IRONWOOD PHARMACEUTICALS INC IRWDCOM CL A409,500369,5004,226,0003,822,00006/30/2020
Mercantil Bank Holding Corp AMTBCommon280,012-13,5894,211,000-308,00006/30/2020
NORTHEAST BANCORP /ME/ NBNCommon231,63704,065,0001,364,00006/30/2020
BANCORP INC TBBKCommon407,50003,994,0001,520,00006/30/2020
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