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
CLXThe Clorox Co
$1.0M
XRXXerox Corp
$1.0M
PINCPremier Inc
$1.0M
JEFJefferies Financial Group Inc
$1.0M
RBBRBB Bancorp
$1.0M
KBHKb Home Com
$1.0M
SEMSelect Med Holdings Corp
$1.0M
GPIGroup 1 Automotive Inc
$1.0M
CMCOColumbus McKinnon Corporation
$1.0M
SFBSServisfirst Bancshares Inc
$1.0M
CBSHCommerce Bancshares Inc
$1.0M
EATBrinker Intl Inc
$1.0M
CPBCampbell Soup Co
$1.0M
ESGREnstar Group Limited
$1.0M
ASCArdmore Shipping Corp
$1.0M
TRIPTripAdvisor Inc
$1.0M
MTGMGIC Inv Corp WI
$1.0M
ON1Old Natl Bancorp
$1.0M
PENGSmart Global Holdings Inc
$1.0M
TMHCTaylor Morrison Home Corp
$1.0M
MXLMaxLinear Inc
$1.0M
QLYSQualys Inc
$1.0M
ODP1The Odp Corp
$1.0M
AMGAffiliated Managers Group
$1.0M
ESNTEssent Group Ltd
$1.0M
SAMBoston Beer Inc
$1.0M
NVDANVIDIA Corp
$1.0M
ELFE L F Beauty Inc
$1.0M
UCTTUltra Clean Holdings Inc
$1.0M
BOXBox Inc Cl A
$1.0M
JXC1Ziff Davis Inc Com
$1.0M
ETRNUSDEquitrans Midstream Corp
$1.0M
CVLTCommVault Systems Inc
$1.0M
VTOLBristow Group Inc
$1.0M
MATWMatthews Intl Corp Cl A
$1.0M
CBRLCracker Barrel Old Country Sto
$1.0M
OIIOceaneering Intl Inc
$1.0M
CRICarter's Inc
$1.0M
JWNUSDNordstrom Inc
$1.0M
PG4Principal Financial Group Inc
$1.0M
SUXTd Synnex Corporation
$1.0M
COHUCohu Inc
$1.0M
NYTNew York Times Co Cl A
$1.0M
EEFTEuronet Worldwide Inc
$1.0M
CBOECboe Global Markets Inc
$1.0M
PCRXPacira Biosciences Inc
$1.0M
HOGHarley-Davidson Inc
$1.0M
GTESGates Industrial Corp plc
$1.0M
AEBAAllete Inc
$1.0M
AMRAlpha Metallurgical Resource I
$1.0M
METAMeta Platforms Inc
$1.0M
CA8ACACI International Inc
$1.0M
LYTSLsi Industries Inc
$961K
PUMPPropetro Holding Corp
$941K
JHGJanus Henderson Group PLC
$938K
XXYCross Country Healthcare Inc
$876K
COLLCollegium Pharmaceutical Inc
$868K
MPTMedical Properties Trust Inc
$861K
NSZNetScout Systems Inc
$851K
MGNIMagnite Inc
$851K
WTTRSelect Water Solutions Inc Cl
$850K
CSGSCSG Systems Intl Inc
$844K
NWNNorthwest Nat Holding Co
$841K
CNKCinemark Holdings Inc
$841K
AVGOBroadcom Inc
$828K
METCBRamaco Resources Inc Cl B
$816K
WGOWinnebago Industries Inc
$813K
JPMJPMorgan Chase & Co
$804K
SPNTSiriuspoint Ltd
$792K
FHIFederated Hermes Inc Cl B
$790K
CRCCalifornia Resources Corp Stoc
$780K
ENREnergizer Holdings Inc
$777K
VREXVarex Imaging Corp
$772K
VSTOEURVista Outdoor Inc
$769K
OISOil States Intl Inc
$769K
SRJSpartanNash Co
$763K
MDPediatrix Medical Group Inc
$762K
PATKPatrick Industries Inc
$749K
OI*O-I Glass Inc Com
$738K
ATENA10 Networks Inc
$734K
TSLATesla Inc
$732K
VVisa Inc
$719K
UTLUnitil Corp
$700K
FRMEFirst Merchants Corp
$698K
CHGGChegg Inc
$694K
GU9Guess Inc
$693K
FFBCFirst Financial Bancorp OH Com
$685K
XOMExxon Mobil Corp
$684K
THSTreeHouse Foods Inc
$684K
FORRForrester Research Inc
$682K
TRMKTrustmark Corp
$673K
MBINMerchants Bancorp Ind Com
$671K
TROXTronox Holdings PLC
$663K
ANDEAndersons Inc
$659K
JNJJohnson & Johnson
$653K
EPCEdgewell Pers Care Co
$651K
MTXMinerals Technologies Inc
$649K
OFGOFG Bancorp Com
$646K
BZHBeazer Homes USA Inc
$635K
NWBINorthwest Bancshares Inc
$630K
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