BRIDGEWAY CAPITAL MANAGEMENT, LLC Q4 2019 Filing

Filed February 14, 2020

Portfolio Value

$7.4B

Holdings

1,303

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (1,303 positions)

StockValue
35YINTELLIGENT SYS CORP NEW
$212K
SLDBSOLID BIOSCIENCES INC
$205K
FBCUSDFLAGSTAR BANCORP INC
$203K
ALIMERA SCIENCES INC
$197K
LEUCENTRUS ENERGY CORP
$197K
TAITTAITRON COMPONENTS INC
$195K
PFIEEURPROFIRE ENERGY INC
$195K
MACKEURMERRIMACK PHARMACEUTICALS IN
$194K
SURFUSDSURFACE ONCOLOGY INC
$192K
NOVAN INC
$190K
CSS INDS INC
$187K
IRIXIRIDEX CORP
$183K
T2 BIOSYSTEMS INC
$181K
KINSKINGSTONE COS INC
$181K
GREAT ELM CAP CORP
$179K
SVXSERVOTRONICS INC
$178K
ECORGBPELECTROCORE INC
$177K
CATASYS INC
$176K
CMTCORE MOLDING TECHNOLOGIES IN
$176K
GTIMGOOD TIMES RESTAURANTS INC
$175K
AXRAMREP CORP NEW
$173K
TCE2CELLDEX THERAPEUTICS INC NEW
$172K
TREVENA INC
$172K
MCDERMOTT INTL INC
$169K
ACRSACLARIS THERAPEUTICS INC
$165K
STEIN MART INC
$163K
GREENLANE HLDGS INC
$163K
HDH1HUDSON GLOBAL INC
$161K
TOWN SPORTS INTL HLDGS INC
$159K
PBIPITNEY BOWES INC
$157K
APAMPCO-PITTSBURGH CORP
$155K
MSNEMERSON RADIO CORP
$153K
RVPRETRACTABLE TECHNOLOGIES INC
$152K
JVACOFFEE HLDG CO INC
$152K
CHARAH SOLUTIONS INC
$151K
VIRCVIRCO MFG CO
$146K
ROCKWELL MED INC
$143K
XELBUSDXCEL BRANDS INC
$143K
AAMEATLANTIC AMERN CORP
$141K
ENDOLOGIX INC
$139K
SCYXEURSCYNEXIS INC
$137K
PENNEY J C CORP INC
$135K
GREAT ELM CAP GROUP INC
$134K
NEON THERAPEUTICS INC
$133K
BLUE APRON HLDGS INC
$132K
REALNETWORKS INC
$129K
LWAYLIFEWAY FOODS INC
$125K
VERIVERITONE INC
$125K
CSSEQCHICKEN SOUP FOR THE SOUL EN
$120K
ICONIX BRAND GROUP INC
$118K
FPAYQFLEXSHOPPER INC
$118K
DIGIRAD CORP
$114K
WESTELL TECHNOLOGIES INC
$113K
MLSSMILESTONE SCIENTIFIC INC
$111K
INVNIDENTIV INC
$104K
CHCICOMSTOCK HLDG COS INC
$104K
RAILFREIGHTCAR AMER INC
$104K
LIVELIVE VENTURES INC
$103K
RELIV INTL INC
$102K
STKSTHE ONE GROUP HOSPITALITY IN
$100K
MPUAEROCENTURY CORP
$95K
CMCLCALEDONIA MNG CORP PLC
$92K
BLUE CAP REINS HLDGS LTD
$87K
THERMOGENESIS HLDGS INC
$86K
SYPRSYPRIS SOLUTIONS INC
$85K
PEDPEDEVCO CORP
$82K
XTNTXTANT MED HLDGS INC
$80K
P & F INDS INC
$80K
AWI1ALLIED HEALTHCARE PRODS INC
$80K
DXYNDIXIE GROUP INC
$78K
PRHICONIFER HLDGS INC
$76K
MVISMICROVISION INC DEL
$72K
ALTALTIMMUNE INC
$68K
UNIT CORP
$66K
OCCOPTICAL CABLE CORP
$65K
YRC WORLDWIDE INC
$64K
MICRON SOLUTIONS INC
$63K
SIFSIFCO INDS INC
$63K
DRRXEURDURECT CORP
$59K
ARTWARTS WAY MFG INC
$53K
AWXAVALON HLDGS CORP
$53K
SHARPS COMPLIANCE CORP
$51K
MXCMEXCO ENERGY CORP
$50K
MRI INTERVENTIONS INC
$50K
QRHCQUEST RESOURCE HLDG CORP
$48K
AGEGBPAGEX THERAPEUTICS INC
$44K
OSSONE STOP SYS INC
$42K
GEVOGEVO INC
$42K
BBGIEURBEASLEY BROADCAST GROUP INC
$39K
CLNECLEAN ENERGY FUELS CORP
$34K
ELAENVELA CORPORATION
$34K
NUVERRA ENVIRONMENTAL SOLUTI
$33K
UNUM THERAPEUTICS INC
$32K
PZGPARAMOUNT GOLD NEV CORP
$31K
ZDGEZEDGE INC
$26K
RAVERAVE RESTAURANT GROUP INC
$25K
CINEDIGM CORP
$22K
DIVERSIFIED RSTRNT HLDGS INC
$21K
BSQUARE CORP
$21K
MRINMARIN SOFTWARE INC
$19K
PreviousPage 13 of 14Next