Value Investor WatchCheck out our flagship site, Rocket Financial
Give us feedback!

Home > Heartland Advisors
Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
FIRSTCASH, INC FCFSSTOCK4,599-191,562310,000-12,078,00012/31/2017
HESS CORP HESCommon5,747-228,504273,000-10,711,00012/31/2017
WILLBROS GROUP INC WGCOM2,739,012-1,451,5283,889,000-9,605,00012/31/2017
FARMER BROTHERS CO FARMCommon61,132-166,1721,965,000-5,502,00012/31/2017
American Homes 4 Rent AMHCommon420,800-248,7709,190,000-5,346,00012/31/2017
BARRETT BUSINESS SERVICES INC BBSICommon324,305-125,80020,914,000-4,530,00012/31/2017
RING ENERGY, INC. REICommon75,862-278,7381,054,000-4,084,00012/31/2017
PATTERSON COMPANIES, INC. PDCOCommon165,306-80,7805,973,000-3,538,00012/31/2017
ACACIA RESEARCH CORP ACTGCommon4,590,880-259,49518,593,064-3,475,93612/31/2017
NOW Inc. DNOWCOM356,990-156,7383,938,000-3,157,00012/31/2017
IAMGOLD CORP IMGCommon3,341,500-293,01119,485,000-2,737,00012/31/2017
TRIPLE-S MANAGEMENT CORP GTSCL B300,532-125,7217,468,000-2,626,00012/31/2017
OSHKOSH CORP OSKCommon41,212-31,7643,746,000-2,277,00012/31/2017
ENTEGRIS INC ENTGCommon192,467-85,0285,861,000-2,145,00012/31/2017
MELLANOX TECHNOLOGIES LTD MLNXCommon150,000-100,0009,705,000-2,083,00012/31/2017
CALLAWAY GOLF CO ELYCommon602,235-119,4958,389,000-2,026,00012/31/2017
PULTEGROUP INC/MI/ PHMCommon53,193-85,5731,769,000-2,023,00012/31/2017
SYNERGY RESOURCES Corp SRCICommon1,703,400-6,40014,530,000-2,004,00012/31/2017
HARVARD BIOSCIENCE INC HBIOCommon1,696,226-303,7745,598,000-1,902,00012/31/2017
LINCOLN EDUCATIONAL SERVICES CORP LINCCommon3,634,011-52,0897,340,702-1,874,29812/31/2017
GameStop Corp. GMECl A300,000-50,0005,385,000-1,846,00012/31/2017
TRIMAS CORP TRSCommon353,264-60,8959,450,000-1,732,00012/31/2017
CABOT OIL & GAS CORP COGCommon397,086-89,54011,357,000-1,660,00012/31/2017
SHARPS COMPLIANCE CORP SCOMCOM189,144-304,285774,000-1,585,00012/31/2017
PARK ELECTROCHEMICAL CORP PKECommon942,287-143,07218,516,000-1,563,00012/31/2017
GREIF INC GEFCL A191,079-31,04311,576,000-1,427,00012/31/2017
EXELON CORP EXCCommon325,900-48,43912,844,000-1,257,00012/31/2017
KENNAMETAL INC KMTCommon192,625-68,3419,325,000-1,202,00012/31/2017
HANCOCK HOLDING CO HBHCCommon139,136-27,8116,887,000-1,202,00012/31/2017
PORTLAND GENERAL ELECTRIC CO /OR/ PORCommon166,766-25,3707,601,000-1,168,00012/31/2017
RCM TECHNOLOGIES INC RCMTCommon833,195-266,8055,207,469-1,084,53112/31/2017
Sanofi SNYCommon154,099-6746,626,000-1,080,00012/31/2017
TRINITY BIOTECH PLC TRIBSPON ADR NEW1,346,150-61,9006,865,000-1,034,00012/31/2017
INVACARE CORP IVCCommon226,819-75,6553,822,000-942,00012/31/2017
BOSTON PRIVATE FINANCIAL HOLDINGS INC BPFHCommon681,182-11,29110,524,000-936,00012/31/2017
<< Prev     Next >>
Rocket Data Systems © 2016