Man Group plc Q3 2019 Filing

Filed November 14, 2019

Portfolio Value

$26.9B

Holdings

1,756

Report Date

Q3 2019

Filing Type

13F-HR

All Holdings (1,756 positions)

StockValue
HTEURHERSHA HOSPITALITY TR
$2.5M
ARCBARCBEST CORP
$2.5M
PAGSPAGSEGURO DIGITAL LTD
$2.5M
MNROMONRO INC
$2.5M
PSECPROSPECT CAPITAL CORPORATION
$2.5M
HMNHORACE MANN EDUCATORS CORP N
$2.4M
TREXTREX CO INC
$2.4M
SUXSYNNEX CORP
$2.4M
ESGRENSTAR GROUP LIMITED
$2.4M
SIGSIGNET JEWELERS LIMITED
$2.4M
NTRNUTRIEN LTD
$2.4M
HEALTH INS INNOVATIONS INC
$2.4M
ICPTUSDINTERCEPT PHARMACEUTICALS IN
$2.4M
HUBSHUBSPOT INC
$2.4M
NSTGEURNANOSTRING TECHNOLOGIES INC
$2.3M
SG7SAGE THERAPEUTICS INC
$2.3M
NMIHNMI HLDGS INC
$2.3M
RRNRED ROBIN GOURMET BURGERS IN
$2.3M
BIOSPECIFICS TECHNOLOGIES CO
$2.3M
NBISYANDEX N V
$2.2M
SCLSTEPAN CO
$2.2M
KGCKINROSS GOLD CORP
$2.2M
FORRFORRESTER RESH INC
$2.2M
FBCUSDFLAGSTAR BANCORP INC
$2.2M
AM6AMICUS THERAPEUTICS INC
$2.2M
NTNXNUTANIX INC
$2.2M
PTCTPTC THERAPEUTICS INC
$2.2M
ARWARROW ELECTRS INC
$2.1M
AUDENTES THERAPEUTICS INC
$2.1M
NVTA1EURINVITAE CORP
$2.1M
KWKENNEDY-WILSON HLDGS INC
$2.1M
PBPROSPERITY BANCSHARES INC
$2.1M
ALVAUTOLIV INC
$2.1M
RCKYROCKY BRANDS INC
$2.1M
UCBUNITED CMNTY BKS BLAIRSVLE G
$2.1M
FT2FIRST HORIZON NATL CORP
$2.1M
NVROEURNEVRO CORP
$2.1M
PFSIPENNYMAC FINL SVCS INC
$2.1M
VCITVANGUARD SCOTTSDALE FDS
$2.1M
CMPCOMPASS MINERALS INTL INC
$2.1M
51AAMERICAN PUBLIC EDUCATION IN
$2.0M
CTRIP COM INTL LTD
$2.0M
RMBS 1.375 02/01/23RAMBUS INC DEL
$2.0M
NATIONAL GEN HLDGS CORP
$2.0M
VSHVISHAY INTERTECHNOLOGY INC
$2.0M
SERVUSDSERVICEMASTER GLOBAL HLDGS I
$1.9M
OLEDUNIVERSAL DISPLAY CORP
$1.9M
GTGOODYEAR TIRE & RUBR CO
$1.9M
BOOTBOOT BARN HLDGS INC
$1.9M
QUADQUAD / GRAPHICS INC
$1.9M
MIDDMIDDLEBY CORP
$1.9M
ADPTADAPTIVE BIOTECHNOLOGIES COR
$1.9M
AMBAAMBARELLA INC
$1.9M
MOMENTA PHARMACEUTICALS INC
$1.9M
BOHBANK HAWAII CORP
$1.9M
ALNTALLIED MOTION TECHNOLOGIES I
$1.8M
VRSUSDVERSO CORP
$1.8M
LIBERTY MEDIA CORP DELAWARE
$1.8M
BCOBRINKS CO
$1.8M
HCKTHACKETT GROUP INC
$1.8M
THSTREEHOUSE FOODS INC
$1.8M
MGNXMACROGENICS INC
$1.8M
CORECORE MARK HOLDING CO INC
$1.8M
SPOKSPOK HLDGS INC
$1.8M
AKXANSYS INC
$1.8M
GBCIGLACIER BANCORP INC NEW
$1.8M
AINALBANY INTL CORP
$1.8M
VNDAVANDA PHARMACEUTICALS INC
$1.7M
KOPKOPPERS HOLDINGS INC
$1.7M
CRAICRA INTL INC
$1.7M
SRJSPARTANNASH CO
$1.7M
NANTHEALTH INC
$1.7M
THCTENET HEALTHCARE CORP
$1.7M
FWONALIBERTY MEDIA CORP DELAWARE
$1.7M
RACEFERRARI N V
$1.7M
OFGOFG BANCORP
$1.7M
PSNPARSONS CORPORATION
$1.6M
NVECNVE CORP
$1.6M
FNHCUSDFEDNAT HLDG CO
$1.6M
COLMCOLUMBIA SPORTSWEAR CO
$1.6M
SNDRSCHNEIDER NATIONAL INC
$1.6M
FMUSDISHARES INC
$1.6M
SOLARWINDS CORP
$1.6M
NYTNEW YORK TIMES CO
$1.6M
SUPNSUPERNUS PHARMACEUTICALS INC
$1.6M
NJRNEW JERSEY RES
$1.6M
TECHBIO TECHNE CORP
$1.5M
ON1OLD NATL BANCORP IND
$1.5M
RXNEURREXNORD CORP NEW
$1.5M
SNAPSNAP INC
$1.5M
ELPCCOMPANHIA PARANAENSE ENERG C
$1.5M
ENCANA CORP
$1.5M
IOVAIOVANCE BIOTHERAPEUTICS INC
$1.5M
CCCHEMOURS CO
$1.5M
SHENSHENANDOAH TELECOMMUNICATION
$1.5M
WHWYNDHAM HOTELS & RESORTS INC
$1.5M
SKTTANGER FACTORY OUTLET CTRS I
$1.5M
IBCPINDEPENDENT BANK CORP MICH
$1.5M
GREAT WESTN BANCORP INC
$1.5M
NEW SR INVT GROUP INC
$1.5M
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