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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
LIGAND PHARMACEUTICALS INC LGNDCOM801,44210,27597,295,00013,558,00006/30/2017
MB FINANCIAL INC /MD MBFICommon2,092,58829,10892,158,0003,800,00006/30/2017
COLUMBIA BANKING SYSTEM INC COLBCommon2,309,61830,68192,038,0003,182,00006/30/2017
GENESEE & WYOMING INC GWRCommon1,261,745180,21786,291,00012,898,00006/30/2017
IAC/INTERACTIVECORP IACICOM PAR $.001812,187-125,09283,850,00014,754,00006/30/2017
PACWEST BANCORP PACWCOMMON STOCK1,769,888-138,29482,653,000-18,976,00006/30/2017
New York REIT, Inc. NYRTCOM9,387,4041,578,43081,107,0005,438,00006/30/2017
BWX Technologies, Inc. BWXTCOM1,649,194-70,23480,398,000-1,446,00006/30/2017
KAR Auction Services, Inc. KARCOM1,871,890-148,50878,563,000-9,668,00006/30/2017
SILGAN HOLDINGS INC SLGNCommon2,455,1651,414,26378,025,00016,237,00006/30/2017
MEDICAL PROPERTIES TRUST INC MPWCommon5,791,458458,75474,536,0005,797,00006/30/2017
Howard Hughes Corp HHCCOM594,404-84,44073,017,000-6,577,00006/30/2017
BGC Partners, Inc. BGCPCL A5,201,304-258,12265,744,0003,725,00006/30/2017
ACI WORLDWIDE, INC. ACIWCommon2,700,017139,95360,399,0005,639,00006/30/2017
TELEDYNE TECHNOLOGIES INC TDYCommon455,57916,11158,155,0002,580,00006/30/2017
ADVISORY BOARD CO ABCOCommon1,031,702-40,43653,133,0002,957,00006/30/2017
KAMAN Corp KAMNCommon1,028,91412,36151,312,0002,386,00006/30/2017
VALVOLINE INC VVVCOM2,159,060445,27751,213,0009,139,00006/30/2017
J2 GLOBAL, INC. JCOMCommon597,3176,31750,825,0001,234,00006/30/2017
Silicon Motion Technology CORP SIMOSP ADR1,028,70755,36149,614,0004,110,00006/30/2017
LITHIA MOTORS INC LADCL A492,66569,99346,424,00010,222,00006/30/2017
CALLON PETROLEUM CO CPECommon4,258,46753,84945,182,000-10,151,00006/30/2017
CBIZ, Inc. CBZCommon2,956,01617,55844,340,0004,524,00006/30/2017
Six Flags Entertainment Corp SIXCOM729,692-144,44043,497,000-8,505,00006/30/2017
SOUTH STATE Corp SSBCOM506,095231,31743,373,00018,822,00006/30/2017
PDF SOLUTIONS INC PDFSCOM2,535,385147,69741,707,000-12,303,00006/30/2017
PACIFIC PREMIER BANCORP INC PPBICommon1,101,060225,94540,629,0006,893,00006/30/2017
Colony Starwood Homes SFRCOM1,166,02611,81440,006,000821,00006/30/2017
FIRSTCASH, INC FCFSSTOCK657,606-312,33638,339,000-9,334,00006/30/2017
MGP INGREDIENTS INC MGPICommon720,231-67,03136,854,000-5,839,00006/30/2017
SLM CORP SLMCommon3,126,759244,43335,958,0001,082,00006/30/2017
LAKELAND BANCORP INC LBAICOM1,887,138420,24735,573,0006,822,00006/30/2017
FMC CORP FMCCommon432,08368,31531,564,0006,249,00006/30/2017
CTS CORP CTSCommon1,273,07314,27727,499,000686,00006/30/2017
OXFORD INDUSTRIES INC OXMCOM STK424,9435,70226,555,0002,549,00006/30/2017
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