VICTORY CAPITAL MANAGEMENT INC Q1 2020 Filing

Filed May 4, 2020

Portfolio Value

$59.2M

Holdings

3,772

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (3,772 positions)

StockValue
BROADWAY FINL CORP DEL
$2K
NINEQNINE ENERGY SVC INC
$2K
MITCHAM INDS INC
$2K
EASTSIDE DISTILLING INC
$2K
ADILADIAL PHARMACEUTICALS INC
$2K
WORXSCWORX CORP
$2K
MYOMYOMO INC
$2K
CHCICOMSTOCK HLDG COS INC
$2K
LIBBEY INC
$2K
NUVERRA ENVIRONMENTAL SOLUTI
$2K
QRHCQUEST RESOURCE HLDG CORP
$2K
TGENTECOGEN INC NEW
$2K
PZGPARAMOUNT GOLD NEV CORP
$2K
NEUROTROPE INC
$2K
CELLECTAR BIOSCIENCES INC
$2K
ACER THERAPEUTICS INC
$2K
ADDVANTAGE TECHNOLOGIES GP I
$2K
TBHCKIRKLANDS INC
$2K
SGBXSG BLOCKS INC
$2K
PATRIOT TRANSN HLDG INC
$2K
OPGNOPGEN INC
$2K
RA MED SYS INC
$2K
CLIRCLEARSIGN TECHNOLOGIES CORP
$2K
PNBKPATRIOT NATL BANCORP INC
$2K
GROWU S GLOBAL INVS INC
$2K
BROADVISION INC
$2K
ATOSEURATOSSA THERAPEUTICS INC
$2K
ALLENA PHARMACEUTICALS INC
$2K
RAVERAVE RESTAURANT GROUP INC
$2K
CAPSTONE TURBINE CORP
$2K
VNCEVINCE HLDG CORP
$2K
AAMEATLANTIC AMERN CORP
$2K
NBYNOVABAY PHARMACEUTICALS INC
$2K
YOUNGEVITY INTL INC
$2K
APDNAPPLIED DNA SCIENCES INC
$2K
AUTOWEB INC
$2K
RCMTRCM TECHNOLOGIES INC
$2K
SALMSALEM MEDIA GROUP INC
$2K
IMAGE SENSING SYS INC
$2K
TROVAGENE INC
$2K
EKSOEUREKSO BIONICS HLDGS INC
$2K
ASCENA RETAIL GROUP INC
$2K
BSQUARE CORP
$2K
RAILFREIGHTCAR AMER INC
$2K
CNSPCNS PHARMACEUTICALS INC
$2K
CVVCVD EQUIPMENT CORP
$2K
NCS MULTISTAGE HLDGS INC
$2K
ENGLOBAL CORP
$2K
USAUU S GOLD CORP
$2K
ICONIX BRAND GROUP INC
$1K
VIVEVE MED INC
$1K
MRINMARIN SOFTWARE INC
$1K
ENTASIS THERAPEUTICS HLDGS I
$1K
MICRON SOLUTIONS INC
$1K
CONTINENTAL MATLS CORP
$1K
FRANCESCAS HLDGS CORP
$1K
TENGASCO INC
$1K
LWAYLIFEWAY FOODS INC
$1K
POLAEURPOLAR PWR INC
$1K
ANVSANNOVIS BIO INC
$1K
ATLAS FINANCIAL HOLDINGS INC
$1K
ARTWARTS WAY MFG INC
$1K
NOVA LIFESTYLE INC
$1K
IORINCOME OPPORTUNITY RLTY INVS
$1K
MEDLEY MGMT INC
$1K
CETXCEMTREX INC
$1K
FORDUSDFORWARD INDS INC N Y
$1K
SCKTSOCKET MOBILE INC
$1K
INPIXON
$1K
BOXLIGHT CORP
$1K
BRICKELL BIOTECH INC
$1K
DPW HLDGS INC
$1K
DLPNGBPDOLPHIN ENTMT INC
$1K
RELIV INTL INC
$1K
REXAHN PHARMACEUTICALS INC
$1K
SGRPSPAR GROUP INC
$1K
SENESTECH INC
$1K
QUINTANA ENERGY SVCS INC
$1K
WHEELER REAL ESTATE INVT TR
$1K
OPTTOCEAN PWR TECHNOLOGIES INC
$1K
SUMMER INFANT INC
$1K
SAEXPLORATION HLDGS INC
$1K
MSNEMERSON RADIO CORP
$1K
CAMBER ENERGY INC
$1K
SLNGStabilis Energy Inc
$1K
INSIGNIA SYS INC
$1K
ENDRA LIFE SCIENCES INC
$1K
WESTELL TECHNOLOGIES INC
$1K
XELBUSDXCEL BRANDS INC
$1K
OCLSEURSONOMA PHARMACEUTICALS INC
$1K
NET ELEMENT INC
$1K
Pressure BioSciences Inc
$1K
Diversicare Healthcare Services Inc
$1K
SALARIUS PHARMACEUTICALS INC
$1K
MEDALIST DIVERSIFIED REIT IN
$1K
P & F INDS INC
$1K
CLEVELAND BIOLABS INC
$1K
Giga-tronics Inc
$1K
IMAC HLDGS INC
$1K
FATAQFAT BRANDS INC
$1K
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