COMERICA BANK Q3 2019 Filing

Filed October 31, 2019

Portfolio Value

$12.7B

Holdings

2,271

Report Date

Q3 2019

Filing Type

13F-HR

All Holdings (2,271 positions)

StockValue
COLONY CAP INC NEW CL A COM
$584K
BKEBUCKLE INC
$584K
CEVACEVA INC
$584K
VICRVICOR CORP
$583K
BANCBANC CALIF INC
$583K
ACLSAXCELIS TECHNOLOGIES INC
$580K
NTNXNUTANIX INC A
$578K
SUZSUZANO PAPEL E CELULOSE S A
$577K
ASXASE INDL HLDG CO LTD ADR
$577K
GSGISHARES GSCI COMMODITY-INDEXED T
$575K
FLEXFLEX LTD
$573K
REGIEURRENEWABLE ENERGY GROUP INC
$571K
VGKVANGUARD FTSE EUROPE ETF
$571K
ACGLARCH CAPITAL GROUP LTD BERMUDA
$571K
NBRNABORS INDUSTRIES LTD
$570K
OTXOPEN TEXT CORP
$568K
QNSTQUINSTREET INC
$567K
EZPWEZCORP INC CL A NON VTG
$564K
VISNCOMMSCOPE HLDG CO INC
$563K
NKTREURNEKTAR THERAPEUTICS
$563K
ECHO GLOBAL LOGISTICS INC
$562K
IHGINTERCONTINENTAL HOTELS GRP ADR
$560K
RMAXRE/MAX HLDGS INC
$560K
QGENQIAGEN NV
$560K
PC6APETROCHINA CO LTD SPON ADR
$558K
FWONALIBERTY MEDIA CORP-LIBERTY
$557K
NATIONAL GEN HLDGS CORP
$556K
ONCBEIGENE LTD ADR
$555K
LNWOSCIENTIFIC GAMES CORP CL A
$554K
ANGOANGIODYNAMICS INC
$554K
SU6SURMODICS INC
$553K
BXBLACKSTONE GROUP INC COM
$552K
ANDEANDERSONS INC
$551K
TRGPTARGA RES CORP
$550K
BAHBOOZ ALLEN HAMILTON HLDG CORP
$546K
MYEMYERS INDS INC
$546K
IUSVISHARES CORE RUSSELL U.S. VA
$545K
FIWFIRST TR ISE WTR INDEX FD
$545K
WTWISDOMTREE INVTS INC
$544K
MKLMARKEL CORP (HOLDING CO)
$544K
FIZZNATIONAL BEVERAGE CORP
$543K
C&J ENERGY SVCS INC NEW
$542K
AQLTISHARES MSCI QATAR ETF
$539K
HEFAISHARES CURR HEDGED MSCI EAFE
$534K
BOOMDMC GLOBAL INC
$534K
HLITHARMONIC INC
$531K
MLCOMELCO CROWN ENTERTAINMENT ADR
$531K
RGSUSDREGIS CORP MINN
$527K
JELDJELD-WEN HLDG INC
$526K
SSNCSS&C TECHNOLOGIES HLDGS INC
$526K
WSRWHITESTONE REIT CL B SHS BEN INT
$526K
SIRIEURSIRIUS XM HLDGS INC
$526K
HAFCHANMI FINANCIAL CORP
$526K
ARMKARAMARK HLDGS CORP
$525K
RHPRYMAN HOSPITALITY PPTYS INC
$524K
ADTNEURADTRAN INC COM
$523K
AEGAEGON N V ORD AMER REG ADR
$522K
AMCAMC ENTMT HLDGS INC
$522K
DXPEDXP ENTERPRISES INC
$519K
NSYNICE SYSTEMS LTD SPON ADR EACH
$513K
AXIACENTRAIS ELETRICAS ADR
$512K
MBTGBPMOBILE TELESYSTEMS SPON ADR
$512K
VSTVISTRA ENERGY CORP
$511K
MYRGMYR GROUP INC DEL
$511K
NEW MEDIA INVT GROUP INC
$510K
FOSLFOSSIL GROUP INC
$503K
TEAM INC
$499K
XLUENERGY SECTOR SPDR
$499K
EFTTECHTARGET INC
$498K
HSIHEIDRICK & STRUGGLES INTL
$496K
BKNGBOOKING HLDGS INC
$494K
GLPGGALAPAGOS NV SPONSORED ADR
$493K
SCHRSCHWAB INTERMEDIATE-TERM US
$492K
PETSPETMED EXPRESS INC
$491K
ELSEQUITY LIFESTYLE PROPERTIES
$491K
HSKAEURHESKA CORP
$490K
AGYSAGILYSYS INC
$488K
FLOTISHARES TR FLOATING RATE NOTE
$487K
OPUS BK IRVINE CALIF
$487K
VTVANGUARD TOTAL WORLD STOCK INDEX
$487K
DGROISHARES CORE DIVIDEND GROWTH
$486K
OSPNONESPAN INC
$486K
HTEURHERSHA HOSPITALITY TR
$485K
CITUSDCIT GROUP INC
$483K
OASEUROASIS PETE INC NEW
$482K
WIXWIX.COM LTD
$481K
SJR/BEURSHAW COMMUNICATIONS INC
$480K
BGBUNGE LIMITED
$478K
SAJACIA SANEAMENTO BASICO DE-ADR GDR
$476K
TECK/BTECK LIMITED CL B
$476K
MERCMERCER INTL INC SBI NEW
$476K
SXCSUNCOKE ENERGY INC
$476K
EP3ORASURE TECHNOLOGIES INC
$474K
OKTAOKTA INC
$474K
FUODOLBY LABORATORIES INC CL A
$473K
EFVISHARES MSCI EAFE VALUE INDEX FD
$471K
MTRXMATRIX SVC CO
$470K
CYHCOMMUNITY HEALTH SYS INC NEW
$469K
TIIAYTELECOM ITALIA SPA SPON ADR
$468K
AU3EURANGLOGOLD ASHANTI LIMITED
$468K
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