Denali Advisors 13F annual report

Denali Advisors is an investment fund managing more than $365 billion ran by Deborah Lamb. There are currently 175 companies in Mrs. Lamb’s portfolio. The largest investments include Innoviva Inc and Costamare Inc, together worth $14.3 billion.

Limited to 30 biggest holdings

$365 billion Assets Under Management (AUM)

As of 2nd August 2024, Denali Advisors’s top holding is 439,786 shares of Innoviva Inc currently worth over $7.21 billion and making up 2.0% of the portfolio value. Relative to the number of outstanding shares of Innoviva Inc, Denali Advisors owns more than approximately 0.1% of the company. In addition, the fund holds 430,495 shares of Costamare Inc worth $7.07 billion, whose value grew 26.4% in the past six months. The third-largest holding is Enact Inc worth $6.97 billion and the next is Jackson Financial Inc worth $6.95 billion, with 93,600 shares owned.

Currently, Denali Advisors's portfolio is worth at least $365 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Denali Advisors

The Denali Advisors office and employees reside in San Diego, California. According to the last 13-F report filed with the SEC, Deborah Lamb serves as the Chief Compliance Officer at Denali Advisors.

Recent trades

In the most recent 13F filing, Denali Advisors revealed that it had opened a new position in Simmons 1st Natl Corp and bought 376,000 shares worth $6.61 billion.

The investment fund also strengthened its position in Innoviva Inc by buying 110,600 additional shares. This makes their stake in Innoviva Inc total 439,786 shares worth $7.21 billion. Innoviva Inc soared 33.6% in the past year.

On the other hand, there are companies that Denali Advisors is getting rid of from its portfolio. Denali Advisors closed its position in Enova International on 9th August 2024. It sold the previously owned 87,500 shares for $4.84 billion. Deborah Lamb also disclosed a decreased stake in Costamare Inc by approximately 0.1%. This leaves the value of the investment at $7.07 billion and 430,495 shares.

One of the smaller hedge funds

The two most similar investment funds to Denali Advisors are Inlet Private Wealth and Logan Stone Capital. They manage $365 billion and $365 billion respectively.


Deborah Lamb investment strategy

Denali Advisors’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Finance — making up 12.6% of the total portfolio value. The fund focuses on investments in the United States as 54.3% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 17% of the total holdings value. On the other hand, small-cap stocks make up only 2.9% of the portfolio. The average market cap of the portfolio companies is close to $38.9 billion.

The complete list of Denali Advisors trades based on 13F SEC filings

These positions were updated on August 9th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Innoviva Inc
33.60%
439,786
$7,212,490,000 1.97%
Costamare Inc
4.44%
430,495
$7,073,033,000 1.94%
Enact Holdings Inc
41.05%
227,466
$6,974,108,000 1.91%
Jackson Financial Inc
2.50%
93,600
$6,950,736,000 1.90%
First Merchants Corp.
91.18%
204,177
$6,797,052,000 1.86%
First Finl Bancorp Oh
94.04%
302,700
$6,725,994,000 1.84%
Century Cmntys Inc
28.52%
81,915
$6,689,179,000 1.83%
Newmark Group Inc
29.08%
653,829
$6,688,671,000 1.83%
Simmons 1st Natl Corp
Opened
376,000
$6,610,080,000 1.81%
Nelnet Inc
32.98%
64,510
$6,506,479,000 1.78%
Pennymac Finl Svcs Inc New
355.03%
67,800
$6,413,880,000 1.76%
Cno Finl Group Inc
1,450.34%
231,000
$6,403,320,000 1.75%
Sylvamo Corp
3.71%
92,200
$6,324,920,000 1.73%
Ingles Mkts Inc
68.76%
92,102
$6,319,118,000 1.73%
Rush Enterprises Inc
42.30%
148,785
$6,229,628,000 1.70%
Bluelinx Hldgs Inc
24.55%
66,835
$6,221,670,000 1.70%
Greif Inc
64.11%
105,513
$6,063,832,000 1.66%
Golden Ocean Group Ltd
7.25%
438,590
$6,052,542,000 1.66%
National Beverage Corp.
36.05%
115,100
$5,897,724,000 1.61%
Buckle, Inc.
41.06%
156,928
$5,796,920,000 1.59%
Dillards Inc
31.32%
13,009
$5,729,034,000 1.57%
1st Source Corp.
92.49%
105,100
$5,635,462,000 1.54%
PC Connection, Inc.
11.51%
86,200
$5,534,040,000 1.51%
Worthington Enterprises Inc.
86.78%
111,800
$5,291,494,000 1.45%
Merchants Bancorp Ind
60.26%
129,224
$5,238,741,000 1.43%
Bank Of Nt Butterfield&son L
6.00%
146,415
$5,142,095,000 1.41%
Graham Hldgs Co
1,715.92%
7,300
$5,106,715,000 1.40%
PBF Energy Inc
34.10%
106,963
$4,922,437,000 1.35%
Enova International Inc.
Closed
87,500
$4,844,000,000
Movado Group, Inc.
494.48%
193,800
$4,817,868,000 1.32%
Forestar Group Inc
73.41%
141,727
$4,533,847,000 1.24%
Victory Cap Hldgs Inc
31.08%
94,728
$4,521,367,000 1.24%
Highpeak Energy Inc
51.21%
319,800
$4,496,388,000 1.23%
Essent Group Ltd
Closed
85,095
$4,487,910,000
Alexanders Inc
80.56%
19,500
$4,384,770,000 1.20%
Flex Lng Ltd
1,301.77%
158,400
$4,283,136,000 1.17%
CVR Energy Inc
251.57%
159,162
$4,260,767,000 1.17%
Genworth Finl Inc
121.17%
690,700
$4,171,828,000 1.14%
Ryerson Hldg Corp
48.44%
213,807
$4,169,237,000 1.14%
Silverbow Res Inc
314.40%
103,600
$3,919,188,000 1.07%
Sandy Spring Bancorp
Closed
142,800
$3,889,872,000
Sandridge Energy Inc
217.23%
292,800
$3,785,904,000 1.04%
Hope Bancorp Inc
23.60%
350,400
$3,763,296,000 1.03%
Dream Finders Homes, Inc.
5.28%
140,409
$3,625,360,000 0.99%
Brightsphere Invt Group Inc
103.19%
160,000
$3,547,200,000 0.97%
Wsfs Finl Corp
Opened
73,100
$3,435,700,000 0.94%
Select Med Hldgs Corp
52.61%
97,342
$3,412,811,000 0.93%
Universal Logistics Hldgs In
33.64%
83,831
$3,402,700,000 0.93%
Perdoceo Ed Corp
32.80%
151,200
$3,238,704,000 0.89%
Arch Resources Inc
Opened
20,600
$3,135,938,000 0.86%
Stonex Group Inc
121,958.82%
41,500
$3,125,365,000 0.86%
Peabody Energy Corp.
36.54%
138,447
$3,062,448,000 0.84%
Hovnanian Enterprises, Inc.
270.79%
21,506
$3,052,132,000 0.84%
Hancock Whitney Corp.
Opened
63,500
$3,037,205,000 0.83%
Heartland Finl Usa Inc
56.79%
62,300
$2,769,235,000 0.76%
Beazer Homes USA Inc.
Closed
80,600
$2,723,474,000
Enstar Group Limited
Closed
9,200
$2,708,020,000
Sonic Automotive, Inc.
73.02%
48,100
$2,620,007,000 0.72%
Alpha Metallurgical Resour I
Opened
9,202
$2,581,437,000 0.71%
Safe Bulkers, Inc
Opened
418,300
$2,434,506,000 0.67%
Customers Bancorp Inc
44.62%
47,044
$2,257,171,000 0.62%
AMC Networks Inc
0.42%
225,200
$2,175,432,000 0.60%
Atlas Energy Solutions Inc
Opened
107,835
$2,149,152,000 0.59%
Smith & Wesson Brands, Inc.
24.35%
143,520
$2,058,077,000 0.56%
Navient Corporation
7.78%
141,300
$2,057,328,000 0.56%
Titan Intl Inc Ill
Opened
276,887
$2,051,733,000 0.56%
Gray Television, Inc.
27.59%
357,019
$1,856,499,000 0.51%
SIGA Technologies Inc
Opened
239,100
$1,814,769,000 0.50%
Global Industrial Company
44.53%
57,122
$1,791,346,000 0.49%
Dnow Inc
Opened
130,100
$1,786,273,000 0.49%
Vital Energy Inc
325.02%
39,527
$1,771,600,000 0.48%
Vista Outdoor Inc
Closed
57,900
$1,712,103,000
National Healthcare Corp.
Closed
18,400
$1,700,528,000
Worthing Steel, Inc.
Closed
59,857
$1,681,982,000
Textainer Group Hldgs Ltd.
Closed
33,900
$1,667,880,000
Target Hospitality Corp.
1,873.40%
185,500
$1,615,705,000 0.44%
Green Brick Partners, Inc.
Opened
27,400
$1,568,376,000 0.43%
EchoStar Corp
Closed
86,015
$1,425,269,000
Thryv Holdings
Closed
69,240
$1,409,034,000
Hilltop Holdings Inc
Opened
45,000
$1,407,600,000 0.39%
Vector Group Ltd
403.52%
128,900
$1,362,473,000 0.37%
First Busey Corp.
4,936.36%
55,400
$1,341,234,000 0.37%
Berkshire Hathaway Inc.
No change
3,200
$1,301,760,000 0.36%
Weis Mkts Inc
6.54%
20,000
$1,255,400,000 0.34%
Geo Group, Inc.
Closed
115,600
$1,251,948,000
OFG Bancorp
191.15%
32,900
$1,232,105,000 0.34%
JPMorgan Chase & Co.
10.45%
6,000
$1,213,560,000 0.33%
Riley Exploration Permian In
24.32%
42,700
$1,208,837,000 0.33%
AMKOR Technology Inc.
67.54%
29,926
$1,197,639,000 0.33%
Standard Mtr Prods Inc
145.88%
41,800
$1,159,114,000 0.32%
Alphabet Inc
7.46%
6,200
$1,129,330,000 0.31%
Exxon Mobil Corp.
Opened
9,800
$1,128,176,000 0.31%
Shoe Carnival, Inc.
Closed
37,100
$1,120,791,000
Matson Inc
71.00%
8,157
$1,068,322,000 0.29%
Consensus Cloud Solutions In
Opened
61,200
$1,051,416,000 0.29%
Republic Bancorp Inc Ky
46.59%
19,600
$1,050,756,000 0.29%
Bank America Corp
10.92%
26,100
$1,037,997,000 0.28%
Provident Finl Svcs Inc
Opened
69,500
$997,325,000 0.27%
LGI Homes Inc
Opened
11,100
$993,339,000 0.27%
Corebridge Finl Inc
38.68%
33,884
$986,702,000 0.27%
Usana Health Sciences Inc
54.78%
21,300
$963,612,000 0.26%
Atlanticus Holdings Corp
Closed
24,755
$957,276,000
Premier Financial Corp.
47.94%
46,600
$953,436,000 0.26%
Chevron Corp.
252.94%
6,000
$938,520,000 0.26%
Verizon Communications Inc
2.82%
21,900
$903,156,000 0.25%
Pfizer Inc.
21.07%
31,600
$884,168,000 0.24%
FB Financial Corp
Closed
22,100
$880,685,000
HP Inc
12.45%
24,968
$874,379,000 0.24%
Cheniere Energy Inc.
56.25%
5,000
$874,150,000 0.24%
Mr. Cooper Group Inc
Closed
13,200
$859,584,000
Goldman Sachs Group, Inc.
Closed
2,200
$848,694,000
Principal Financial Group In
481.60%
10,748
$843,181,000 0.23%
Lennar Corp.
11.11%
5,626
$843,169,000 0.23%
Albertsons Cos Inc
710,633.33%
42,644
$842,219,000 0.23%
Qcr Holdings Inc
59.09%
14,000
$840,000,000 0.23%
Kronos Worldwide, Inc.
42.10%
66,700
$837,085,000 0.23%
General Mtrs Co
5.88%
18,000
$836,280,000 0.23%
TEGNA Inc
14,953.09%
58,406
$814,180,000 0.22%
Granite Ridge Resources Inc
Opened
126,706
$802,049,000 0.22%
American Intl Group Inc
1.89%
10,800
$801,792,000 0.22%
Penske Automotive Grp Inc
102.38%
5,365
$799,492,000 0.22%
BankUnited Inc
Opened
27,300
$799,071,000 0.22%
Koppers Holdings Inc
14.52%
21,300
$787,887,000 0.22%
Karat Packaging, Inc.
Closed
31,600
$785,260,000
Westlake Corporation
10.18%
5,322
$770,732,000 0.21%
Johnson Outdoors Inc
22.89%
21,900
$766,062,000 0.21%
Lyondellbasell Industries N
2.42%
7,941
$759,636,000 0.21%
Embecta Corp
2.98%
60,300
$753,750,000 0.21%
Genie Energy Ltd
Closed
26,000
$731,380,000
Nucor Corp.
0.11%
4,615
$729,539,000 0.20%
Snap-on, Inc.
Closed
2,509
$724,700,000
Arch Cap Group Ltd
Opened
7,120
$718,337,000 0.20%
Orion S.A
Opened
32,700
$717,438,000 0.20%
Pnc Finl Svcs Group Inc
Opened
4,600
$715,208,000 0.20%
Bunge Global SA
3.09%
6,614
$706,177,000 0.19%
Village Super Market, Inc.
Closed
25,400
$666,242,000
Marathon Pete Corp
15.15%
3,800
$659,224,000 0.18%
R C M Technologies
Closed
22,500
$653,400,000
F&G Annuities & Life Inc
58,541.38%
17,006
$647,078,000 0.18%
Semler Scientific Inc
Closed
14,500
$642,205,000
Aflac Inc.
27.59%
7,126
$636,423,000 0.17%
Marine Products Corp
Closed
55,300
$630,420,000
Rocky Brands, Inc
Closed
20,832
$628,710,000
ConnectOne Bancorp Inc.
No change
33,100
$625,259,000 0.17%
Synchrony Financial
245.83%
13,048
$615,735,000 0.17%
HCA Healthcare Inc
9.52%
1,900
$610,432,000 0.17%
NVR Inc.
23.08%
80
$607,085,000 0.17%
Richardson Electronics, Ltd.
Closed
45,300
$604,755,000
Bread Financial Holdings Inc
91.18%
13,529
$602,852,000 0.16%
Amdocs Ltd
5.58%
7,611
$600,660,000 0.16%
Nurix Therapeutics, Inc.
Closed
57,500
$593,400,000
Cognizant Technology Solutio
211.25%
8,715
$592,620,000 0.16%
First Internet Bancorp
Closed
24,300
$587,817,000
Medifast Inc
21.29%
26,458
$577,314,000 0.16%
Heidrick & Struggles International, Inc.
Closed
19,500
$575,835,000
Expeditors Intl Wash Inc
12.28%
4,609
$575,157,000 0.16%
TTEC Holdings Inc
No change
97,293
$572,083,000 0.16%
Cathay Gen Bancorp
62,195.83%
14,951
$563,952,000 0.15%
Ramaco Resources Inc
Closed
32,400
$556,632,000
Paccar Inc.
22.89%
5,407
$556,597,000 0.15%
Piedmont Office Realty Trust Inc
Closed
76,500
$543,915,000
TD Synnex Corp
25.37%
4,712
$543,765,000 0.15%
Haverty Furniture Cos., Inc.
39.43%
21,200
$536,148,000 0.15%
Lennox International Inc
41.38%
1,000
$534,980,000 0.15%
Scholar Rock Holdings
Closed
28,200
$530,160,000
Twenty-first Century Fox Inc.
Closed
17,766
$527,117,000
Landsea Homes Corp
Closed
40,100
$526,914,000
MetLife, Inc.
Opened
7,500
$526,425,000 0.14%
Morgan Stanley
Closed
5,500
$512,875,000
Skyworks Solutions, Inc.
140.40%
4,808
$512,437,000 0.14%
Discover Finl Svcs
42.66%
3,912
$511,729,000 0.14%
IDT Corp.
Closed
15,000
$511,350,000
Centrus Energy Corp
60.47%
11,831
$505,775,000 0.14%
Avangrid Inc
528.82%
14,180
$503,815,000 0.14%
Weyerhaeuser Co Mtn Be
18.37%
17,296
$491,033,000 0.13%
Public Storage
Closed
1,600
$488,000,000
Wells Fargo & Company
Closed
9,900
$487,278,000
DLH Holdings Corp
Closed
30,800
$485,100,000
Wesbanco, Inc.
7.49%
17,300
$482,843,000 0.13%
Ars Pharmaceutical
Closed
87,500
$479,500,000
Hudson Technologies, Inc.
Closed
35,074
$473,148,000
General Dynamics Corp.
5.88%
1,600
$464,224,000 0.13%
Constellium SE
19,681.45%
24,529
$462,372,000 0.13%
Patria Investments Limited
Opened
38,300
$461,898,000 0.13%
United States Lime & Minerals Inc.
Closed
2,000
$460,700,000
Southern Copper Corporation
40.25%
4,242
$457,033,000 0.13%
Ibex Ltd
Closed
23,600
$448,636,000
Olympic Steel Inc.
Closed
6,700
$446,890,000
Natural Grocers by Vitamin Cottage Inc
Closed
27,700
$443,200,000
Valero Energy Corp.
Closed
3,400
$442,000,000
Steel Dynamics Inc.
740.64%
3,413
$441,984,000 0.12%
Armada Hoffler Pptys Inc
No change
39,500
$438,055,000 0.12%
Business First Bancshares Inc.
Closed
17,600
$433,840,000
Harmony Biosciences Hldgs In
Opened
14,100
$425,397,000 0.12%
Byline Bancorp Inc
Closed
18,000
$424,080,000
Daseke Inc
Closed
52,300
$423,630,000
Amalgamated Financial
Closed
15,700
$422,958,000
Theseus Pharmaceuticals
Closed
103,800
$420,390,000
Ladder Cap Corp
Opened
36,600
$413,214,000 0.11%
Ge Healthcare Technologies I
Opened
5,300
$412,976,000 0.11%
Williams-Sonoma, Inc.
Closed
2,005
$404,569,000
Claros Mortgage Trust, Inc.
Closed
29,300
$399,359,000
MSA Safety Inc
Opened
2,100
$394,149,000 0.11%
Cabaletta Bio Inc
Closed
17,300
$392,710,000
HF Sinclair Corporation
Closed
7,061
$392,380,000
Fulcrum Therapeutics Inc
Closed
57,800
$390,150,000
Preformed Line Products Co.
Closed
2,900
$388,194,000
Citigroup Inc
Opened
6,100
$387,106,000 0.11%
Greene County Bancorp Inc
Closed
13,600
$383,520,000
Cencora Inc.
29.17%
1,700
$383,010,000 0.10%
FS Bancorp Inc
Closed
10,300
$380,688,000
Cooper Companies, Inc.
Closed
1,000
$378,440,000
Arrow Electrs Inc
27.50%
3,126
$377,496,000 0.10%
Travelzoo
Closed
39,200
$373,576,000
Quest Diagnostics, Inc.
Closed
2,703
$372,690,000
Andersons Inc.
37,400.00%
7,500
$372,000,000 0.10%
G1 Therapeutics Inc
Closed
121,800
$371,490,000
Hologic, Inc.
25.37%
5,000
$371,250,000 0.10%
HBT Financial Inc
Closed
17,500
$369,425,000
P.a.m. Transportation
Closed
17,700
$367,806,000
Iradimed Corp
Closed
7,700
$365,519,000
Core Molding Tech
Closed
19,500
$361,335,000
Direct Digital Holdings
Closed
24,100
$358,608,000
J.Jill Inc
Closed
13,500
$348,030,000
Chesapeake Energy Corp.
27.28%
4,209
$345,938,000 0.09%
Consumer Portfolio Services
Closed
36,600
$342,942,000
Zynex Inc
Closed
30,386
$330,904,000
Hingham Institution For Saving
Closed
1,700
$330,480,000
Ovintiv Inc
1,501.59%
7,031
$329,543,000 0.09%
Immersion Corp
Closed
46,600
$328,996,000
Liquidity Services Inc
Closed
19,000
$326,990,000
Radiant Logistics, Inc.
Closed
48,800
$324,032,000
Banner Corp.
48.41%
6,500
$322,660,000 0.09%
Ardmore Shipping Corp
Opened
14,000
$315,420,000 0.09%
Regional Management Corp
Closed
12,400
$310,992,000
Crescent Energy
Closed
23,500
$310,435,000
Kroger Co.
Closed
6,717
$307,034,000
Home Bancorp Inc
Closed
7,300
$306,673,000
Mercantile Bank Corp.
Closed
7,500
$302,850,000
Crossfirst Bancshares
Closed
21,400
$290,612,000
Archer Daniels Midland Co.
21.67%
4,700
$284,115,000 0.08%
Oneok Inc.
Closed
3,914
$274,841,000
Sun Ctry Airls Hldgs Inc
Opened
21,700
$272,552,000 0.07%
CPI Card Group Inc
Closed
13,700
$262,903,000
Hamilton Beach Brands
Closed
15,000
$262,350,000
Fonar Corp.
Closed
13,400
$262,104,000
Legacy Housing Corporation
Closed
10,200
$257,244,000
Northwest Bancshares Inc
Closed
20,300
$253,344,000
Metropolitan Bank Holding Corp
Closed
4,500
$249,210,000
Preferred Bk Los Angeles Ca
Opened
3,300
$249,117,000 0.07%
Origin Bancorp Inc
Closed
7,000
$248,990,000
Hartford Finl Svcs Group Inc
Opened
2,412
$242,502,000 0.07%
Gulfport Energy Corp.
95.18%
1,600
$241,600,000 0.07%
CoreCard Corporation
Closed
17,447
$241,292,000
ONE Group Hospitality Inc
Closed
39,300
$240,516,000
Insteel Industries, Inc.
Closed
6,200
$237,398,000
Stewart Information Svcs Cor
92.75%
3,800
$235,904,000 0.06%
Dime Cmnty Bancshares Inc
Opened
11,500
$234,600,000 0.06%
Pulte Group Inc
10.70%
2,111
$232,421,000 0.06%
Holley Inc
Closed
46,200
$224,994,000
LSI Industries Inc.
Closed
15,800
$222,464,000
Capital One Finl Corp
75.00%
1,600
$221,520,000 0.06%
Medallion Financial Corp.
Closed
22,300
$219,655,000
Equity Bancshares Inc
Closed
6,400
$216,960,000
Ameris Bancorp
Closed
4,000
$212,200,000
Lovesac Company
Closed
8,300
$212,065,000
Universal Health Rlty Income
58.82%
5,400
$211,356,000 0.06%
Hackett Group Inc (The)
Closed
9,200
$209,484,000
IES Holdings Inc
Closed
2,600
$205,972,000
Cirrus Logic, Inc.
38.49%
1,608
$205,277,000 0.06%
Fidelity National Financial Inc
71.22%
4,133
$204,253,000 0.06%
Leidos Holdings Inc
39.37%
1,400
$204,232,000 0.06%
Intest Corp.
Closed
15,000
$204,000,000
Jakks Pacific Inc.
Closed
5,700
$202,635,000
BRT Apartments Corp
Closed
10,800
$200,772,000
Silvercrest Asset Mgmt Grp
Closed
11,800
$200,600,000
S & T Bancorp, Inc.
Opened
6,000
$200,340,000 0.05%
Erasca Inc
Closed
91,200
$194,256,000
Lifeway Foods, Inc.
Closed
14,300
$191,763,000
Patrick Industries, Inc.
Closed
1,900
$190,665,000
Destination XL Group Inc
Closed
42,500
$187,000,000
Dow Chemical Company
Closed
3,400
$186,456,000
Futurefuel Corp
Closed
30,100
$183,008,000
Qualcomm, Inc.
Closed
1,200
$173,556,000
Texas Pacific Land Trust
Closed
110
$172,970,000
Oceanfirst Finl Corp
Opened
10,800
$171,612,000 0.05%
QuidelOrtho Corporation
Closed
2,312
$170,394,000
Waterstone Financial, Inc (md)
Closed
11,900
$168,980,000
Resources Connection Inc
106.76%
15,300
$168,912,000 0.05%
Protalix BioTherapeutics Inc.
Closed
94,700
$168,566,000
Clearfield Inc
Closed
5,700
$165,756,000
Central Valley Community Bancorp
Closed
7,400
$165,390,000
Distribution Solutions Group
Closed
5,200
$164,112,000
EVI Industries Inc
Closed
6,700
$158,991,000
Bank7 Corp
Closed
5,800
$158,630,000
Ennis Inc.
Closed
7,200
$157,752,000
Acco Brands Corporation
Closed
25,700
$156,256,000
Tileshop Holdings
Closed
21,000
$154,560,000
Townsquare Media Inc
Closed
14,400
$152,064,000
Coterra Energy Inc
Closed
5,900
$150,568,000
Marinus Pharmaceuticals Inc
Closed
13,600
$147,832,000
Nathan's Famous Inc
Closed
1,800
$140,418,000
Tenaya Therapeutics
Closed
43,300
$140,292,000
Eagle Pharmaceuticals Inc
Closed
26,600
$139,118,000
Southern Mo Bancorp
Closed
2,600
$138,814,000
Independent Bank Mi
Closed
5,300
$137,906,000
Envela Corp
Closed
28,300
$137,538,000
Bridgewater Bancshares Inc
Closed
10,000
$135,200,000
First Mid-illinois Bancshares
Closed
3,800
$131,708,000
Midland States Bancorp Inc
Closed
4,600
$126,776,000
Eastman Kodak Co.
Closed
32,300
$125,970,000
Kelly Services, Inc.
Closed
5,800
$125,396,000
Mastech Digital Inc
Closed
14,400
$121,363,000
Copart, Inc. (de)
Closed
2,400
$117,600,000
Y-Mabs Therapeutics Inc
Closed
16,400
$111,848,000
Pmv Pharmaceuticals Inc
Closed
33,900
$105,090,000
Organon & Co
Closed
7,247
$104,502,000
Ready Capital Corp
Closed
10,000
$102,500,000
Ag Mortgage Investment Tr
Closed
14,800
$93,980,000
Inozyme Pharma, Inc.
Closed
22,000
$93,720,000
Urban One Inc
Closed
25,600
$90,368,000
Celanese Corp
Closed
510
$79,239,000
Apartment Income REIT Corp.
Closed
2,268
$78,768,000
Weyco Group, Inc
Closed
2,500
$78,400,000
Tronox Holdings
Closed
4,900
$69,384,000
CNA Financial Corp.
Closed
1,549
$65,538,000
Bank Of New York Mellon Corp
Closed
1,232
$64,126,000
Ally Financial Inc
Closed
1,702
$59,434,000
Ubiquiti Inc
Closed
411
$57,359,000
Cincinnati Financial Corp.
Closed
515
$53,282,000
Assertio Holdings, Inc.
Closed
42,700
$45,689,000
CDW Corp
Closed
200
$45,464,000
Markel Corp
Closed
31
$44,017,000
State Street Corp.
Closed
510
$39,505,000
Tyson Foods, Inc.
Closed
721
$38,754,000
Louisiana-Pacific Corp.
Closed
544
$38,532,000
Carlyle Group Inc (The)
Closed
927
$37,720,000
AGCO Corp.
Closed
309
$37,516,000
Sturm, Ruger & Co., Inc.
Closed
800
$36,360,000
East West Bancorp, Inc.
Closed
500
$35,975,000
Fifth Third Bancorp
Closed
1,031
$35,559,000
Amerco
Closed
490
$35,182,000
Tetra Tech, Inc.
Closed
206
$34,388,000
Lithia Motors, Inc.
Closed
103
$33,916,000
Vontier Corporation
Closed
976
$33,721,000
OneMain Holdings Inc
Closed
677
$33,308,000
Concentrix Corporation
Closed
338
$33,195,000
Timken Co.
Closed
410
$32,862,000
Nexstar Media Group Inc
Closed
206
$32,291,000
MSC Industrial Direct Co., Inc.
Closed
300
$30,378,000
Schneider National Inc
Closed
1,185
$30,158,000
Mosaic Co. (the)
Closed
826
$29,513,000
Reliance Inc.
Closed
102
$28,527,000
Rithm Capital Corp
Closed
2,558
$27,319,000
Dolby Laboratories Inc
Closed
310
$26,716,000
Bath & Body Works
Closed
618
$26,673,000
Tapestry Inc
Closed
712
$26,209,000
Jefferies Financial Group Inc
Closed
613
$24,771,000
Best Buy Co. Inc.
Closed
310
$24,267,000
Invesco Limited
Closed
1,337
$23,852,000
Playtika Holding Corp.
Closed
2,506
$21,852,000
Davita Healthcare Partners Inc
Closed
205
$21,476,000
Apache Corporation
Closed
592
$21,241,000
Avis Budget Group Inc
Closed
119
$21,094,000
Autonation Inc.
Closed
138
$20,725,000
Landstar System, Inc.
Closed
105
$20,333,000
FTI Consulting Inc.
Closed
102
$20,313,000
Highwoods Properties, Inc.
Closed
861
$19,769,000
Old Republic Int'l Corp
Closed
671
$19,727,000
Jones Lang Lasalle Inc.
Closed
104
$19,642,000
Hertz Global Holdings Inc.
Closed
1,875
$19,481,000
Robert Half Inc
Closed
211
$18,551,000
Wesco International, Inc.
Closed
104
$18,084,000
Genpact Limited
Closed
517
$17,945,000
Carrier Global Corporation
Closed
300
$17,235,000
Brown-Forman Corporation
Closed
300
$17,130,000
Liberty Broadband Corp
Closed
209
$16,843,000
Match Group Inc.
Closed
414
$15,111,000
LKQ Corp
Closed
310
$14,815,000
International Paper Co.
Closed
400
$14,460,000
Popular Inc.
Closed
100
$8,207,000
BOK Financial Corp.
Closed
87
$7,452,000
Affiliated Managers Group Inc.
Closed
48
$7,268,000
Encore Wire Corp.
Closed
34
$7,262,000
Seaboard Corp.
Closed
2
$7,140,000
Avnet, Inc.
Closed
141
$7,106,000
NewMarket Corp.
Closed
13
$7,096,000
Reynolds Consumer Product
Closed
247
$6,629,000
UFP Industries Inc
Closed
51
$6,403,000
MGIC Investment Corp
Closed
311
$5,999,000
Super Miccro Computer
Closed
21
$5,969,000
Mdc Holdings Inc
Closed
103
$5,691,000
Boise Cascade Co
Closed
43
$5,562,000
Cleveland-Cliffs Inc
Closed
248
$5,064,000
Brookfield Business
Closed
207
$4,819,000
Fabrinet
Closed
25
$4,758,000
United States Steel Corp.
Closed
95
$4,622,000
Insight Enterprises Inc.
Closed
25
$4,430,000
Belden Inc
Closed
55
$4,249,000
First American Financial Corp
Closed
65
$4,189,000
Patterson Companies Inc.
Closed
145
$4,125,000
Option Care Health
Closed
122
$4,110,000
Beacon Roofing Supply Inc
Closed
46
$4,003,000
Ensign Group Inc
Closed
35
$3,927,000
ePlus Inc
Closed
49
$3,912,000
Sanmina Corp
Closed
76
$3,904,000
AMN Healthcare Services Inc.
Closed
51
$3,819,000
ArcBest Corp
Closed
31
$3,727,000
GMS Inc
Closed
45
$3,709,000
APi Group Corporation
Closed
107
$3,702,000
Fluor Corporation
Closed
94
$3,682,000
Plexus Corp.
Closed
34
$3,676,000
Gates Industrial Corp
Closed
255
$3,422,000
Carvana Co.
Closed
64
$3,388,000
American Equity Investment
Closed
59
$3,292,000
Cross Country Healthcare Inc
Closed
138
$3,124,000
Ryder System, Inc.
Closed
27
$3,107,000
Advanced Energy Industries Inc.
Closed
28
$3,050,000
Group 1 Automotive, Inc.
Closed
10
$3,047,000
Taylor Morrison Home Corp.
Closed
57
$3,041,000
Coca-cola Bottling Cl A
Closed
3
$2,785,000
Diodes, Inc.
Closed
34
$2,738,000
TriNet Group Inc
Closed
23
$2,735,000
Academy Sports And Outdoors
Closed
41
$2,706,000
Insperity Inc
Closed
23
$2,696,000
Camping World Holdings Inc
Closed
100
$2,626,000
Radnet Inc
Closed
74
$2,573,000
Radian Group, Inc.
Closed
90
$2,570,000
Sprouts Farmers Market Inc
Closed
50
$2,406,000
AdaptHealth Corp.
Closed
322
$2,347,000
Brookfield Renewable Corporation
Closed
81
$2,332,000
Arko Corp.
Closed
282
$2,327,000
O-I Glass Inc
Closed
137
$2,244,000
Columbia Sportswear Co.
Closed
28
$2,227,000
Pacific Premier Bancorp, Inc.
Closed
76
$2,212,000
Surgery Partners Inc
Closed
69
$2,207,000
ModivCare Inc.
Closed
50
$2,200,000
MDU Resources Group Inc
Closed
111
$2,198,000
Oscar Health, Inc.
Closed
240
$2,196,000
Mueller Industries, Inc.
Closed
46
$2,169,000
Par Pacific Holding
Closed
59
$2,146,000
American Eagle Outfitters Inc.
Closed
99
$2,095,000
Assured Guaranty Ltd
Closed
27
$2,020,000
Southwestern Energy Company
Closed
307
$2,011,000
Weatherford International Public Ltd
Closed
20
$1,957,000
Selective Insurance Group
Closed
19
$1,890,000
Itron Inc.
Closed
25
$1,888,000
LCI Industries
Closed
15
$1,886,000
SLM Corp.
Closed
98
$1,874,000
Olaplex Holdings
Closed
707
$1,796,000
Primoris Services Corp
Closed
53
$1,760,000
Macy's Inc.
Closed
87
$1,750,000
First Cash Fncl Svcs Inc.
Closed
16
$1,734,000
Pilgrims Pride Corp
Closed
59
$1,632,000
Allison Transmission Holdings Inc
Closed
28
$1,628,000
Herbalife Ltd
Closed
106
$1,618,000
Credit Acceptance Corp.
Closed
3
$1,598,000
Pinnacle Financial Partners Inc.
Closed
18
$1,570,000
Resideo Technologies Inc
Closed
81
$1,524,000
Cal-Maine Foods, Inc.
Closed
26
$1,492,000
Ryman Hospitality Properties Inc
Closed
13
$1,431,000
Alignment Healthcare
Closed
166
$1,429,000
Bloomin' Brands Inc
Closed
49
$1,379,000
Urban Outfitters, Inc.
Closed
38
$1,356,000
PROG Holdings, Inc.
Closed
42
$1,298,000
Aveanna Healthcare Holdings Inc
Closed
458
$1,227,000
Liberty Oilfield Services
Closed
67
$1,215,000
Siriuspoint
Closed
103
$1,195,000
Lions Gate Entertainment Corp.
Closed
104
$1,134,000
Cabot Corp.
Closed
13
$1,086,000
New Jersey Resources Corporation
Closed
24
$1,070,000
Sinclair Inc
Closed
82
$1,068,000
Olin Corp.
Closed
19
$1,025,000
Essential Properties Realty Trust Inc
Closed
38
$971,000
Janus Henderson Group plc
Closed
29
$874,000
Novavax, Inc.
Closed
173
$830,000
Crane Co
Closed
7
$827,000
Liberty Sirius Xm
Closed
28
$806,000
Championx Corp
Closed
27
$789,000
Brookfield Infrastructure Corporation
Closed
21
$741,000
Dicks Sporting Goods, Inc.
Closed
4
$588,000
Otter Tail Corporation
Closed
6
$510,000
Four Corners Ppty Trust
Closed
19
$481,000
Synovus Financial Corp.
Closed
12
$452,000
Cinemark Holdings Inc
Closed
29
$409,000
Annaly Capital Mgmt.
Closed
21
$407,000
No transactions found
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