WEDGE CAPITAL MANAGEMENT L L P/NC Q1 2019 Filing

Filed May 2, 2019

Portfolio Value

$8.8B

Holdings

572

Report Date

Q1 2019

Filing Type

13F-HR

All Holdings (572 positions)

StockValue
NOANorth American Construction Group Ltd.
$1.7M
DGXQuest Diagnostics Incorporated
$1.7M
PTGXProtagonist Therapeutics, Inc.
$1.7M
Northeast Bancorp
$1.7M
NVECNVE Corporation
$1.7M
HCKTHackett Group, Inc.
$1.7M
HTBHomeTrust Bancshares, Inc.
$1.7M
TPBTurning Point Brands Inc
$1.6M
UTMUtah Medical Products, Inc.
$1.6M
HRTGHeritage Insurance Holdings, Inc.
$1.6M
MBWMMercantile Bank Corporation
$1.6M
HCIHCI Group, Inc.
$1.6M
DVADaVita Inc.
$1.6M
FFICFlushing Financial Corporation
$1.6M
Tower International, Inc.
$1.6M
FCBCFirst Community Bankshares Inc
$1.6M
OPYOppenheimer Holdings Inc. Class A
$1.6M
CTOUSDConsolidated-Tomoka Land Co.
$1.6M
COWNEURCowen Inc Class A
$1.6M
Craft Brew Alliance
$1.5M
DCODucommun Incorporated
$1.5M
RLGTRadiant Logistics, Inc.
$1.5M
3TYTitan Machinery Inc.
$1.5M
FNHCUSDFedNat Holding Company
$1.5M
Points International Ltd.
$1.5M
AROWArrow Financial Corporation
$1.4M
HBBHamilton Beach Brands Holding Co. Class A
$1.4M
United Community Financial Corp.
$1.4M
HVTHaverty Furniture Companies, Inc.
$1.4M
SPNEUSDSeaSpine Holdings Corp.
$1.4M
EFCEllington Financial Inc.
$1.4M
Zix Corporation
$1.4M
SCVLShoe Carnival, Inc.
$1.3M
HCCIUSDHeritage-Crystal Clean, Inc.
$1.3M
BELFBBel Fuse Inc. Class B
$1.3M
Spartan Motors, Inc.
$1.3M
KALVKalVista Pharmaceuticals, Inc.
$1.3M
MCRIMonarch Casino & Resort, Inc.
$1.3M
ADUSAddus HomeCare Corporation
$1.3M
RBBRBB Bancorp
$1.2M
PCCPC Connection, Inc.
$1.2M
INTTinTEST Corporation
$1.2M
NSSCNAPCO Security Technologies, Inc.
$1.2M
GMREUSDGlobal Medical REIT Inc
$1.2M
PTBPotbelly Corp.
$1.2M
AAPLApple Inc.
$1.2M
TLYSTilly's, Inc. Class A
$1.2M
TGLEURTransGlobe Energy Corporation
$1.2M
Armstrong Flooring, Inc.
$1.1M
ULHUniversal Logistics Holdings, Inc.
$1.1M
GHMGraham Corporation
$1.1M
PNNTPennantPark Investment Corporation
$1.1M
SLPSimulations Plus, Inc.
$1.1M
MGMistras Group, Inc.
$1.1M
TXNMPNM Resources, Inc.
$1.0M
LSTRLandstar System, Inc.
$1.0M
BBWBuildABear Workshop, Inc.
$1.0M
PVHPVH Corp.
$1.0M
HBIOHarvard Bioscience, Inc.
$1.0M
EFTTechTarget, Inc.
$973K
DWSNDawson Geophysical Company
$971K
DSP Group, Inc.
$945K
CVGICommercial Vehicle Group, Inc.
$940K
ORNOrion Group Holdings, Inc.
$940K
AIRGAirgain, Inc.
$930K
AMZNAmazon.com, Inc.
$930K
GOOGAlphabet Inc. Class C
$923K
CULPCulp, Inc.
$922K
CNTCentury Casinos, Inc.
$913K
TRNSTranscat, Inc.
$908K
EMEEMCOR Group, Inc.
$907K
WDCWestern Digital Corporation
$901K
UISUnisys Corporation
$900K
OFSOFS Capital Corp.
$888K
CMTLComtech Telecommunications Corp.
$877K
AMSWAUSDAmerican Software, Inc. Class A
$877K
Manitex International, Inc.
$862K
PLYMPlymouth Industrial REIT, Inc.
$857K
STLDSteel Dynamics, Inc.
$849K
TESSCO Technologies Incorporated
$843K
AFGAmerican Financial Group, Inc.
$841K
ATHSAthene Holding Ltd. Class A
$833K
ACGLArch Capital Group Ltd.
$817K
PRGX Global, Inc.
$814K
PFIEEURProfire Energy, Inc.
$813K
AMNBUSDAmerican National Bankshares Inc.
$809K
J. Alexander's Holdings, Inc. Class A
$806K
RDIReading International, Inc. Class A
$805K
TTEKTetra Tech, Inc.
$802K
FSBWFS Bancorp, Inc.
$797K
NRIMNorthrim BanCorp, Inc.
$791K
MTRXMatrix Service Company
$789K
TOLToll Brothers, Inc.
$785K
BKCCUSDBlackRock Capital Investment Corporation
$782K
JOUTJohnson Outdoors Inc. Class A
$781K
RRXRegal Beloit Corp
$779K
IIIInformation Services Group, Inc.
$779K
BFINUSDBankFinancial Corporation
$771K
WCCWESCO International, Inc.
$764K
CTLEURCenturyLink, Inc.
$764K
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