GOLDMAN SACHS GROUP INC Q4 2017 Filing

Filed February 14, 2018

Portfolio Value

$418.1M

Holdings

4,141

Report Date

Q4 2017

Filing Type

13F-HR

All Holdings (4,141 positions)

StockValue
FATAQFAT BRANDS INC
$93K
ADAMIS PHARMACEUTICALS CORP
$92K
JANUS HENDERSON GROUP PLC
$89K
MVISMICROVISION INC DEL
$89K
ALJ REGIONAL HLDGS INC
$89K
NAGECHROMADEX CORP
$88K
ERIN ENERGY CORP
$87K
MOLINA HEALTHCARE INC
$86K
NORTH AMERN ENERGY PARTNERS
$86K
CAMBIUM LEARNING GRP INC
$86K
MMTMFS MULTIMARKET INCOME TR
$86K
PHOTRONICS INC
$85K
DXLGDESTINATION XL GROUP INC
$84K
SDPIUSDSUPERIOR DRILLING PRODS INC
$83K
XIGDXVOYA GLBL EQTY DIV & PREM OP
$82K
IDERA PHARMACEUTICALS INC
$81K
MAXWELL TECHNOLOGIES INC
$81K
SEACHANGE INTL INC
$79K
MEDLEY MGMT INC
$79K
EXELA TECHNOLOGIES INC
$79K
EDDMORGAN STANLEY EM MKTS DM DE
$79K
TOWN SPORTS INTL HLDGS INC
$79K
DRRXEURDURECT CORP
$78K
MODUSLINK GLOBAL SOLUTIONS I
$76K
GLDDGREAT LAKES DREDGE & DOCK CO
$76K
NUANCE COMMUNICATIONS INC
$75K
VSTMVERASTEM INC
$73K
FORESIGHT ENERGY LP
$73K
BRWTEMPLETON GLOBAL INCOME FD
$72K
HBIOHARVARD BIOSCIENCE INC
$72K
LABDGBPDIREXION SHS ETF TR
$71K
IMMUNE DESIGN CORP
$70K
SITO MOBILE LTD
$69K
NANOVIBRONIX INC
$69K
PPTPUTNAM PREMIER INCOME TR
$68K
ATLCATLANTICUS HLDGS CORP
$68K
AKTSQAKOUSTIS TECHNOLOGIES INC
$67K
U.S. AUTO PARTS NETWORK INC
$67K
XBGYXBLACKROCK ENHANCED INTL DIV
$67K
SECOND SIGHT MED PRODS INC
$66K
VOXXVOXX INTL CORP
$65K
AROTECH CORP
$65K
BIOTIME INC
$64K
GRANA Y MONTERO S A A
$64K
MTNBEURMATINAS BIOPHARMA HLDGS INC
$63K
CASI PHARMACEUTICALS INC
$61K
AMRSEURAMYRIS INC
$61K
WLB1EURWESTMORELAND COAL CO
$60K
MEIPUSDMEI PHARMA INC
$58K
QUOTIENT LTD
$57K
NTIPNETWORK 1 TECHNOLOGIES INC
$57K
INVIVO THERAPEUTICS HLDGS CO
$57K
AEVI GENOMIC MEDICINE INC
$57K
INTEQINTELSAT S A
$56K
NAVIOS MARITIME ACQUIS CORP
$55K
LMCA 1.375 10/15/23LIBERTY MEDIA CORP DELAWARE
$54K
EVGNEVOGENE LTD
$53K
AMSCAMERICAN SUPERCONDUCTOR CORP
$52K
DRDDRDGOLD LIMITED
$51K
EFRENERGY FUELS INC
$51K
BLDPBALLARD PWR SYS INC NEW
$50K
LEVEL BRANDS INC
$49K
TCSUSDCONTAINER STORE GROUP INC
$49K
CPSSCONSUMER PORTFOLIO SVCS INC
$48K
HUDSON GLOBAL INC
$47K
FORTRESS BIOTECH INC
$47K
XERIUM TECHNOLOGIES INC
$44K
NOVAN INC
$43K
PHPNGALECTIN THERAPEUTICS INC
$42K
UQM TECHNOLOGIES INC
$41K
TIDEWATER INC NEW
$41K
CGENCOMPUGEN LTD
$41K
WMIH CORP
$41K
NEVSUN RES LTD
$40K
UTIUNIVERSAL TECHNICAL INST INC
$39K
TIDEWATER INC NEW
$39K
NOBILIS HEALTH CORP
$37K
STEIN MART INC
$37K
PERNIX THERAPEUTICS HLDGS IN
$36K
UONEURBAN ONE INC
$34K
DEL TACO RESTAURANTS INC
$34K
GSTEURGASTAR EXPL INC NEW
$33K
RESHAPE LIFESCIENCES INC
$33K
ATHERSYS INC
$32K
SQNSSEQUANS COMMUNICATIONS S A
$32K
INCYTE CORP
$31K
NOVELION THERAPEUTICS INC
$31K
ARQULE INC
$31K
CORINDUS VASCULAR ROBOTICS I
$30K
ACELRX PHARMACEUTICALS INC
$30K
ADVAXIS INC
$30K
NEW YORK & CO INC
$30K
VGZVISTA GOLD CORP
$29K
STKSTHE ONE GROUP HOSPITALITY IN
$28K
TGLEURTRANSGLOBE ENERGY CORP
$27K
ASTERIAS BIOTHERAPEUTICS INC
$27K
ALIMERA SCIENCES INC
$27K
U6ZURANIUM ENERGY CORP
$27K
ENCORE CAP GROUP INC
$27K
VECO 2.7 01/15/23VEECO INSTRS INC DEL
$26K
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