WEDGE CAPITAL MANAGEMENT L L P/NC Q4 2023 Filing

Filed February 1, 2024

Portfolio Value

$5.6B

Holdings

484

Report Date

Q4 2023

Filing Type

13F-HR

All Holdings (484 positions)

StockValue
HCQAMN Healthcare Services Inc
$6.0M
SLBSchlumberger Ltd
$6.0M
ITTITT Inc
$5.0M
PLOWDouglas Dynamics Inc
$5.0M
GDDYGoDaddy Inc
$5.0M
MTDRMatador Resources Co
$5.0M
ECVTEcovyst Inc
$5.0M
SBCSabra Health Care REIT Inc
$5.0M
MGYMagnolia Oil & Gas Corp Cl A
$5.0M
ALITAlight Inc Cl A
$5.0M
LNTAlliant Energy Corp
$5.0M
OSISOSI Systems Inc
$5.0M
TDYTeledyne Technologies Inc
$5.0M
CALMCal-Maine Foods Inc
$5.0M
AIZAssurant Inc
$5.0M
FNBF.N.B. Corporation
$5.0M
UNPUnion Pacific Corp
$5.0M
KFYKorn Ferry
$5.0M
CNXCNX Resources Corp
$5.0M
GGenpact Limited
$5.0M
CATYCathay General Bancorp
$5.0M
CMSCMS Energy Corp
$5.0M
IIPRInnovative Industrial Properti
$5.0M
MURMurphy Oil Corp
$5.0M
SANMSanmina Corporation Com
$5.0M
AVTRAvantor Inc
$5.0M
OXMOxford Industries Inc
$4.0M
WTHWorthington Industries Inc
$4.0M
NXSTNexstar Media Group Inc
$4.0M
MSFTMicrosoft Corp
$4.0M
ALAir Lease Corp Cl A
$4.0M
CWCurtiss-Wright Corp
$4.0M
FIBKFirst Interstate BancSystem In
$4.0M
CBTCabot Corp
$4.0M
IARTIntegra Lifesciences Hldgs Cp
$4.0M
ABMABM Industries Inc
$4.0M
METCBRamaco Resources Inc Cl A
$4.0M
CLWClearwater Paper Corp
$4.0M
DFINDonnelley Financial Solutions
$4.0M
SIXEURSix Flags Entertainment Corp
$4.0M
HWCHancock Whitney Corp
$4.0M
PTENPatterson-UTI Energy Inc
$4.0M
AVNTAvient Corporation
$4.0M
BCBEURPrimo Water Corporation
$4.0M
YETIYeti Holdings Inc
$4.0M
BDCBelden Inc
$4.0M
FANGDiamondback Energy Inc
$4.0M
CPKChesapeake Utilities Corp
$4.0M
PRGProg Holdings Inc
$3.0M
DTMDt Midstream Inc Common Stock
$3.0M
SMGScotts Miracle-Gro Co Cl A
$3.0M
COLMColumbia Sportswear Co
$3.0M
RYTMRhythm Pharmaceuticals Inc
$3.0M
ACMAECOM
$3.0M
WCCWESCO Intl Inc
$3.0M
OCFCOceanFirst Financial Corp
$3.0M
AM6Amicus Therapeutics Inc
$3.0M
LAMRLamar Advertising Co
$3.0M
GABCGerman American Bancorp Inc
$3.0M
HPEHewlett Packard Enterprise Co
$3.0M
BSFAANI Pharmaceuticals Inc
$3.0M
QCRHQCR Holdings Inc
$3.0M
LDOSLeidos Holdings Inc
$3.0M
TSAACI Worldwide Inc
$3.0M
AVBAvalonBay Communities Inc
$3.0M
AXTAAxalta Coating Systems Ltd
$3.0M
CMAComerica Inc
$3.0M
LIVNLivanova PLC
$3.0M
JNPJuniper Networks Inc
$2.0M
VBTXVeritex Holdings Inc
$2.0M
SLMSLM Corp
$2.0M
EQHEquitable Holdings Inc
$2.0M
SSNCSS&C Technologies Holdings Inc
$2.0M
EXRExtra Space Storage Inc
$2.0M
CBNKCapital Bancorp Inc MD Com
$2.0M
ALKAlaska Air Group Inc
$2.0M
ZBRAZebra Technologies Corp
$2.0M
TTMITTM Technologies Inc
$2.0M
ARCBArcBest Corp
$2.0M
REEverest Group Ltd
$2.0M
WSWorthington Stl Inc
$2.0M
AMZNAmazon.com Inc
$2.0M
SD2Sandy Spring Bancorp Inc
$2.0M
LESLLeslies Inc
$2.0M
NVSTEnvista Holdings Corp
$2.0M
AITApplied Industrial Technologie
$2.0M
VSTSVestis Corporation Com
$2.0M
AERAerCap Holdings NV
$2.0M
VACMarriott Vacations Worldwide C
$2.0M
THCTenet Healthcare Corp New
$2.0M
WSFSWSFS Financial Corp
$2.0M
LSTRLandstar System Inc
$2.0M
HOMBHome Bancshares Inc
$2.0M
EPREPR Properties
$2.0M
AEOAmerican Eagle Outfitters Inc
$1.0M
ORIOld Republic Intl Corp
$1.0M
AOSLAlpha & Omega Semiconductor Lt
$1.0M
HRBH&R Block Inc
$1.0M
OLNOlin Corp
$1.0M
DXCDXC Technology Co
$1.0M
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