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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
MDC HOLDINGS INC MDCCommon488,25733,73717,431,0006,886,00006/30/2020
ASSOCIATED BANC-CORP ASBCommon1,223,258221,00016,734,0003,915,00006/30/2020
Vistra Energy Corp VSTCommon883,850-45,60016,457,0001,623,00006/30/2020
POTLATCH CORP (OLD) PCHCommon416,20017,00015,828,0003,297,00006/30/2020
UMB FINANCIAL CORP UMBFCommon282,056-5,73714,540,0001,192,00006/30/2020
Century Communities, Inc. CCSCommon446,7004,00013,696,0007,272,00006/30/2020
MGIC INVESTMENT CORP MTGCommon1,629,80027,40013,348,0003,173,00006/30/2020
ARGAN INC AGXCommon274,850013,022,0003,520,00006/30/2020
LINCOLN EDUCATIONAL SERVICES CORP LINCCommon3,276,709-92,40112,779,0005,367,00006/30/2020
RADIAN GROUP INC RDNCommon805,3303,00512,491,0002,101,00006/30/2020
HAIN CELESTIAL GROUP INC HAINCommon391,599-36,91712,339,0001,210,00006/30/2020
VONAGE HOLDINGS CORP VGCOM1,207,800107,80012,150,0004,197,00006/30/2020
KENNEDY WILSON INC KWCOM779,175-189,77811,859,000-1,144,00006/30/2020
PORTLAND GENERAL ELECTRIC CO /OR/ PORCommon283,4005,32811,849,000-1,482,00006/30/2020
SONIC AUTOMOTIVE INC SAHCL A360,16252,11711,493,0007,402,00006/30/2020
TRICO BANCSHARES / TCBKCOM STK377,320011,489,000237,00006/30/2020
CAPITAL CITY BANK GROUP INC CCBGCommon537,0755,50011,252,000557,00006/30/2020
AMERICAN VANGUARD CORP AVDCommon799,014-230,82410,994,000-3,897,00006/30/2020
ATN International, Inc. ATNICOM175,909-66,08110,655,000-3,552,00006/30/2020
TRIPLE-S MANAGEMENT CORP GTSCL B546,469-122,74210,394,000958,00006/30/2020
KRATOS DEFENSE & SECURITY SOLUTIONS, INC. KTOSCOM663,364-6,34710,368,0001,099,00006/30/2020
BERKSHIRE HATHAWAY INC BRK/BCommon57,9722,59010,349,000224,00006/30/2020
Stock Yards Bancorp, Inc. SYBTCOM256,002-2,06710,291,0002,825,00006/30/2020
NORTHWEST PIPE CO NWPXCommon398,4752,3509,990,0001,176,00006/30/2020
EXELON CORP EXCCommon274,725-13,7559,970,000-649,00006/30/2020
ACACIA RESEARCH CORP ACTGCommon2,429,800-20,0009,938,0004,499,00006/30/2020
TreeHouse Foods, Inc. THSCommon226,613-10,3629,926,000-536,00006/30/2020
QUEST DIAGNOSTICS INC DGXCommon85,785-22,9679,776,0001,043,00006/30/2020
LANDEC CORP \CA\ LNDCCommon1,227,3323,2409,770,000-867,00006/30/2020
Pretium Resources Inc. PVGCommon1,162,050213,1509,761,0004,381,00006/30/2020
SENSIENT TECHNOLOGIES CORP SXTCommon186,35457,5739,720,0004,117,00006/30/2020
HEARTLAND EXPRESS INC HTLDCommon462,61565,8629,632,0002,264,00006/30/2020
MDU RESOURCES GROUP INC MDUCommon429,0416,2289,516,000426,00006/30/2020
COWEN GROUP, INC. COWNCL A NEW582,35045,2009,440,0004,251,00006/30/2020
MICROSTRATEGY INC MSTRCl A78,8904,2509,332,000517,00006/30/2020
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