WEDGE CAPITAL MANAGEMENT L L P/NC Q1 2020 Filing

Filed April 13, 2020

Portfolio Value

$5.8B

Holdings

517

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (517 positions)

StockValue
SCVLShoe Carnival, Inc.
$868K
METAFacebook, Inc. Class A
$857K
SLBSchlumberger NV
$853K
VPGVishay Precision Group, Inc.
$850K
VVXVectrus Inc
$846K
MTRXMatrix Service Company
$820K
CBTXEURCBTX, Inc.
$813K
Spartan Motors, Inc.
$809K
GMREUSDGlobal Medical REIT Inc
$759K
G2CEveri Holdings, Inc.
$754K
HALHalliburton Company
$754K
CUROEURCURO Group Holdings Corp.
$751K
ELFe.l.f. Beauty, Inc.
$741K
CLARClarus Corporation
$727K
LFVNLifeVantage Corporation
$711K
DGXQuest Diagnostics Incorporated
$705K
FISIFinancial Institutions, Inc.
$702K
BHRBraemar Hotels & Resorts, Inc.
$697K
UISUnisys Corporation
$692K
PLYMPlymouth Industrial REIT, Inc.
$685K
CRAICRA International, Inc.
$678K
RRNRed Robin Gourmet Burgers, Inc.
$676K
DCODucommun Incorporated
$670K
XXYCross Country Healthcare, Inc.
$653K
RBBRBB Bancorp
$648K
MCBMetropolitan Bank Holding Corp.
$636K
BSRRSierra Bancorp
$632K
EFTTechTarget, Inc.
$628K
UTMUtah Medical Products, Inc.
$604K
AMSWAUSDAmerican Software, Inc. Class A
$599K
RLGTRadiant Logistics, Inc.
$591K
PS1Computer Programs and Systems, Inc.
$580K
HCKTHackett Group, Inc.
$575K
NOANorth American Construction Group Ltd.
$569K
Sharps Compliance Corp.
$568K
PGProcter & Gamble Company
$562K
VVisa Inc. Class A
$562K
3TYTitan Machinery Inc.
$557K
LSTRLandstar System, Inc.
$535K
Points International Ltd.
$532K
CyberOptics Corporation
$529K
ALNTAllied Motion Technologies Inc.
$529K
FNHCUSDFedNat Holding Company
$521K
SLPSimulations Plus, Inc.
$519K
NRIMNorthrim BanCorp, Inc.
$517K
Era Group, Inc.
$509K
INBKFirst Internet Bancorp
$481K
ULHUniversal Logistics Holdings, Inc.
$480K
CCNECNB Financial Corporation
$471K
TTEKTetra Tech, Inc.
$462K
RCKYRocky Brands, Inc.
$461K
AIRGAirgain, Inc.
$454K
AEGNAegion Corporation
$453K
HSIHeidrick & Struggles International, Inc.
$450K
BOOMDMC Global Inc.
$432K
CVLGCovenant Transportation Group, Inc. Class A
$431K
BKHBlack Hills Corporation
$428K
MRKMerck & Co., Inc.
$425K
FLGTFulgent Genetics, Inc.
$423K
MBINMerchants Bancorp
$422K
WDCWestern Digital Corporation
$418K
HDHome Depot, Inc.
$415K
TAT&T Inc.
$402K
9990302DApache Corporation
$398K
EPMEvolution Petroleum Corporation
$393K
CMCSAComcast Corporation Class A
$384K
Macatawa Bank Corporation
$381K
RRXRegal Beloit Corp
$381K
ATAtlantic Power Corporation
$379K
ACGLArch Capital Group Ltd.
$377K
NGVCNatural Grocers by Vitamin Cottage, Inc.
$377K
GWWW.W. Grainger, Inc.
$373K
CTXSEURCitrix Systems, Inc.
$371K
EFCEllington Financial Inc.
$369K
EGANeGain Corporation
$368K
RGAReinsurance Group of America, Incorporated
$366K
PEPPepsiCo, Inc.
$363K
WTSWatts Water Technologies, Inc. Class A
$360K
CSCOCisco Systems, Inc.
$359K
Lydall, Inc.
$356K
SPFISouth Plains Financial Inc
$346K
HNMOrmat Technologies, Inc.
$344K
TRNSTranscat, Inc.
$344K
HBBHamilton Beach Brands Holding Co. Class A
$339K
HBIOHarvard Bioscience, Inc.
$335K
ADBEAdobe Inc.
$335K
HAYNUSDHaynes International, Inc.
$332K
SOYSunOpta Inc.
$331K
VRSNVeriSign, Inc.
$330K
ENTAEnanta Pharmaceuticals, Inc.
$326K
DSGRLawson Products, Inc.
$321K
PCTEL, Inc.
$316K
LDOSLeidos Holdings, Inc.
$316K
SMLRSemler Scientific, Inc.
$314K
ABTAbbott Laboratories
$312K
TOLToll Brothers, Inc.
$311K
CUTREURCutera, Inc.
$310K
BELFBBel Fuse Inc. Class B
$308K
DGIIDigi International Inc.
$302K
WOOFoot Locker, Inc.
$298K
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