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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
SCHNITZER STEEL INDUSTRIES INC SCHNCommon287,145-245,4747,767,000-10,182,00009/30/2018
UNITED BANKSHARES INC/WV UBSICOM445,395-247,39616,190,000-9,028,00009/30/2018
BARRETT BUSINESS SERVICES INC BBSICommon261,505-3,45017,463,000-8,124,00009/30/2018
BENCHMARK ELECTRONICS INC BHECommon75,468-252,7641,766,000-7,802,00009/30/2018
AES CORP AESCommon1,000,000-517,60014,000,000-6,351,00009/30/2018
TriState Capital Holdings, Inc. TSCCOM400,000-200,00011,040,000-4,620,00009/30/2018
Fabrinet FNCOM100,000-150,0004,626,000-4,597,00009/30/2018
ACACIA RESEARCH CORP ACTGCommon2,601,792-501,0638,326,000-4,551,00009/30/2018
PARK ELECTROCHEMICAL CORP PKECommon756,351-57,92214,741,000-4,142,00009/30/2018
Energy Recovery, Inc. ERIICOM500,000-488,0944,475,000-3,509,00009/30/2018
CROSS COUNTRY HEALTHCARE INC CCRNCommon768,390-112,3666,708,000-3,201,00009/30/2018
SYNERGY RESOURCES Corp SRCICommon1,427,900-1,00012,694,000-3,052,00009/30/2018
HUDSON TECHNOLOGIES INC /NY HDSNCOM1,079,689-1,032,7111,382,000-2,864,00009/30/2018
TRANSCAT INC TRNSCOM309,942-215,0587,082,000-2,841,00009/30/2018
METHODE ELECTRONICS INC MEICommon325,511-30,26011,783,000-2,555,00009/30/2018
ENCORE WIRE CORP WIRECommon219,718-63,73511,008,000-2,442,00009/30/2018
Spark Energy, Inc. SPKECL A COM209,472-200,7001,728,000-2,271,00009/30/2018
MARTEN TRANSPORT LTD MRTNCommon100,000-66,6662,105,000-1,803,00009/30/2018
TrueBlue, Inc. TBICommon182,451-60,5224,753,000-1,795,00009/30/2018
HARVARD BIOSCIENCE INC HBIOCommon1,107,777-286,6515,816,000-1,644,00009/30/2018
SCHLUMBERGER LIMITED/NV SLBCommon230,760-1,27914,058,000-1,496,00009/30/2018
GENESCO INC GCOCommon75,000-50,0003,533,000-1,430,00009/30/2018
ANIMAS CORP PUMPCOM331,400-99,2005,465,000-1,287,00009/30/2018
CABOT OIL & GAS CORP COGCommon448,794-26,33710,107,000-1,201,00009/30/2018
ASPEN AEROGELS INC ASPNCOM550,000-200,0002,514,000-1,161,00009/30/2018
TRINITY BIOTECH PLC TRIBSPON ADR NEW792,456-72,9443,170,000-1,157,00009/30/2018
EVERTEC, Inc. EVTCCOM500,000-100,00012,050,000-1,060,00009/30/2018
BANCORP INC TBBKCommon1,086,800-60010,422,000-952,00009/30/2018
Ryman Hospitality Properties, Inc. RHPCOM98,871-13,9378,520,000-860,00009/30/2018
DIGIRAD CORP DRADCommon504,000-466,605756,000-748,00009/30/2018
MDU RESOURCES GROUP INC MDUCommon187,894-5,7964,827,000-728,00009/30/2018
ZIONS BANCORPORATION /UT/ ZIONCommon226,344-2,26011,351,000-694,00009/30/2018
SuperCom Ltd SPCBSHS NEW673,331-126,6691,205,000-667,00009/30/2018
PERMA FIX ENVIRONMENTAL SERVICES INC PESICommon1,358,651-42,9085,706,000-601,00009/30/2018
CenterState Banks, Inc. CSFLCOMMON274,816-1,1147,709,000-519,00009/30/2018
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