Parkside Financial Bank & Trust Q2 2018 Filing

Filed August 3, 2018

Portfolio Value

$269.5M

Holdings

1,608

Report Date

Q2 2018

Filing Type

13F-HR

All Holdings (1,608 positions)

StockValue
OSPNONESPAN INC
$1K
AZZAZZ INC
$1K
SSS1EURLIFE STORAGE INC
$1K
HFF INC
$1K
RGRSTURM RUGER & CO INC
$1K
OCLARO INC
$1K
JEFJEFFERIES FINL GROUP INC
$1K
ABCBAMERIS BANCORP
$1K
AAWWUSDATLAS AIR WORLDWIDE HLDGS IN
$1K
DBDEURDIEBOLD NXDF INC
$1K
WASHINGTON PRIME GROUP NEW
$1K
MTRNMATERION CORP
$1K
AJRDEURAEROJET ROCKETDYNE HLDGS INC
$1K
IVREURINVESCO MORTGAGE CAPITAL INC
$1K
TEAM INC
$1K
RLRALPH LAUREN CORP
$1K
WLYWILEY JOHN & SONS INC
$1K
AKRACADIA RLTY TR
$1K
IBNICICI BK LTD
$1K
PETSPETMED EXPRESS INC
$1K
LNNLINDSAY CORP
$1K
BOTTOMLINE TECH DEL INC
$1K
XPERI CORP
$1K
TUPTUPPERWARE BRANDS CORP
$1K
SUPERVALU INC
$1K
CHS1USDCHICOS FAS INC
$1K
MTRXMATRIX SVC CO
$1K
SEDGSOLAREDGE TECHNOLOGIES INC
$1K
ITRIITRON INC
$1K
MOMENTA PHARMACEUTICALS INC
$1K
DGIIDIGI INTL INC
$1K
IWPISHARES TR
$1K
JRVRJAMES RIV GROUP LTD
$1K
CASHMETA FINL GROUP INC
$1K
QUALITY SYS INC
$1K
IGTINTERNATIONAL GAME TECHNOLOG
$1K
RYAMRAYONIER ADVANCED MATLS INC
$1K
IEXIDEX CORP
$1K
CUBIC CORP
$1K
HLTHILTON WORLDWIDE HLDGS INC
$1K
PVACUSDPENN VA CORP NEW
$1K
FFFUTUREFUEL CORPORATION
$1K
AWRAMERICAN STS WTR CO
$1K
HIGHPOINT RES CORP
$1K
ASIXADVANSIX INC
$1K
INSIGHT SELECT INCOME FD
$1K
INVAINNOVIVA INC
$1K
AAOIAPPLIED OPTOELECTRONICS INC
$1K
SCLSTEPAN CO
$1K
USCRU S CONCRETE INC
$1K
AVPUSDAVON PRODS INC
$1K
TMPTOMPKINS FINANCIAL CORPORATI
$1K
KAMNUSDKAMAN CORP
$1K
HB6HIBBETT SPORTS INC
$1K
DDD3-D SYS CORP DEL
$1K
CRAY INC
$1K
FAROFARO TECHNOLOGIES INC
$1K
ANFABERCROMBIE & FITCH CO
$1K
CDNSCADENCE DESIGN SYSTEM INC
$1K
ENSGENSIGN GROUP INC
$1K
WRLDWORLD ACCEP CORP DEL
$1K
TRNTRINITY INDS INC
$1K
UCTTULTRA CLEAN HLDGS INC
$1K
NSANATIONAL STORAGE AFFILIATES
$1K
TKRTIMKEN CO
$1K
UVEUNIVERSAL INS HLDGS INC
$1K
NUTRI SYS INC NEW
$1K
OISOIL STS INTL INC
$1K
PIPRPIPER JAFFRAY COS
$1K
MULTI COLOR CORP
$1K
ORITANI FINL CORP DEL
$1K
AEISADVANCED ENERGY INDS
$1K
DLPHDELPHI TECHNOLOGIES PLC
$1K
INTL FCSTONE INC
$1K
UNIT CORP
$1K
TILEINTERFACE INC
$1K
EGRXEAGLE PHARMACEUTICALS INC
$1K
ACHOWENS & MINOR INC NEW
$1K
DEAN FOODS CO NEW
$1K
ACORDA THERAPEUTICS INC
$1K
BSFAANI PHARMACEUTICALS INC
$1K
MGPIMGP INGREDIENTS INC NEW
$1K
SONSONOCO PRODS CO
$1K
CROXCROCS INC
$1K
RUTHUSDRUTHS HOSPITALITY GROUP INC
$1K
SPSMSPDR SER TR
$1K
ALGTALLEGIANT TRAVEL CO
$1K
STRAYER ED INC
$1K
SL2SLEEP NUMBER CORP
$1K
NEW MEDIA INVT GROUP INC
$1K
MAGELLAN HEALTH INC
$1K
FOSLFOSSIL GROUP INC
$1K
ODPEUROFFICE DEPOT INC
$1K
SIXEURSIX FLAGS ENTMT CORP NEW
$1K
ECPGENCORE CAP GROUP INC
$1K
HFCUSDHOLLYFRONTIER CORP
$1K
ARRUSDARMOUR RESIDENTIAL REIT INC
$1K
SSTKSHUTTERSTOCK INC
$1K
EXTREXTREME NETWORKS INC
$1K
AMGAFFILIATED MANAGERS GROUP
$1K
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