WELLINGTON MANAGEMENT GROUP LLP Q1 2019 Filing
Filed May 15, 2019
Portfolio Value
$441.5M
Holdings
2,023
Report Date
Q1 2019
Filing Type
13F-HR
All Holdings (2,023 positions)
| Stock | Value |
|---|---|
TXTTEXTRON INC | $13.8M |
STLAFIAT CHRYSLER AUTOMOBILES N | $13.8M |
HTBKHERITAGE COMMERCE CORP | $13.8M |
SFSTSOUTHERN FIRST BANCSHARES IN | $13.8M |
FFORD MTR CO DEL | $13.8M |
—U S G CORP | $13.7M |
LBTYBLIBERTY GLOBAL PLC | $13.7M |
TAPMOLSON COORS BREWING CO | $13.7M |
HURCHURCO COMPANIES INC | $13.7M |
MLNXMELLANOX TECHNOLOGIES LTD | $13.7M |
EPDENTERPRISE PRODS PARTNERS L | $13.6M |
GLPIGAMING & LEISURE PPTYS INC | $13.5M |
CDEVEURCENTENNIAL RESOURCE DEV INC | $13.4M |
UFPTUFP TECHNOLOGIES INC | $13.3M |
MCOMOODYS CORP | $13.2M |
S9QSPIRIT AEROSYSTEMS HLDGS INC | $13.2M |
EXREXTRA SPACE STORAGE INC | $13.2M |
RBBRBB BANCORP | $13.1M |
DHTDHT HOLDINGS INC | $13.1M |
BCMLBAYCOM CORP | $13.0M |
IIPRINNOVATIVE INDL PPTYS INC | $13.0M |
GSMFERROGLOBE PLC | $13.0M |
—DNB FINL CORP | $13.0M |
—BOINGO WIRELESS INC | $13.0M |
VETVERMILION ENERGY INC | $12.9M |
ASNDASCENDIS PHARMA A S | $12.9M |
PGCPEAPACK-GLADSTONE FINL CORP | $12.9M |
KALAKALA PHARMACEUTICALS INC | $12.9M |
WSFSWSFS FINL CORP | $12.8M |
GPCGENUINE PARTS CO | $12.8M |
—LIMELIGHT NETWORKS INC | $12.8M |
G4RABANCO DE CHILE | $12.7M |
OLLIOLLIES BARGAIN OUTLT HLDGS I | $12.7M |
—SELECT BANCORP INC NEW | $12.6M |
EWTISHARES INC | $12.6M |
HLFHERBALIFE NUTRITION LTD | $12.5M |
PEGPUBLIC SVC ENTERPRISE GRP IN | $12.5M |
BRKRBRUKER CORP | $12.4M |
—ARRIS INTERNATIONAL PLC | $12.4M |
NVECNVE CORP | $12.3M |
LITE 0.25 03/15/24LUMENTUM HLDGS INC | $12.3M |
TRHCEURTABULA RASA HEALTHCARE INC | $12.2M |
IIININSTEEL INDUSTRIES INC | $12.2M |
KALUKAISER ALUMINUM CORP | $12.2M |
HPPHUDSON PAC PPTYS INC | $12.2M |
NEWTNEWTEK BUSINESS SVCS CORP | $12.1M |
ZM3ZUMIEZ INC | $12.0M |
PLAYDAVE & BUSTERS ENTMT INC | $12.0M |
RHRH | $11.9M |
AZPNUSDASPEN TECHNOLOGY INC | $11.9M |
—CAESARS ENTMT CORP | $11.9M |
TGHTEXTAINER GROUP HOLDINGS LTD | $11.8M |
NGSNATURAL GAS SERVICES GROUP | $11.7M |
PNRPENTAIR PLC | $11.7M |
CIVBCIVISTA BANCSHARES INC | $11.7M |
ENZBENZO BIOCHEM INC | $11.7M |
MHOM/I HOMES INC | $11.7M |
SEMSELECT MED HLDGS CORP | $11.6M |
MFCMANULIFE FINL CORP | $11.6M |
HAYNUSDHAYNES INTERNATIONAL INC | $11.6M |
OHIOMEGA HEALTHCARE INVS INC | $11.5M |
UTBUNITY BANCORP INC | $11.3M |
—MARLIN BUSINESS SVCS CORP | $11.3M |
ARNCCHFARCONIC INC | $11.3M |
FDO.FMACYS INC | $11.3M |
—SHILOH INDS INC | $11.2M |
LOBLIVE OAK BANCSHARES INC | $11.2M |
RLGTRADIANT LOGISTICS INC | $11.1M |
—WRIGHT MED GROUP N V | $11.1M |
—COMMUNITY BANKERS TR CORP | $11.1M |
CWCURTISS WRIGHT CORP | $11.1M |
—CASTLIGHT HEALTH INC | $11.1M |
MOOVANECK VECTORS ETF TR | $10.9M |
MIC2EURMACQUARIE INFRASTRUCTURE COR | $10.8M |
—CHINA UNICOM (HONG KONG) LTD | $10.8M |
EWCISHARES INC | $10.8M |
—APARTMENT INVT & MGMT CO | $10.8M |
XLISELECT SECTOR SPDR TR | $10.7M |
CIMCHIMERA INVT CORP | $10.6M |
XIFRNEXTERA ENERGY PARTNERS LP | $10.5M |
—LRAD CORP | $10.5M |
LGIHLGI HOMES INC | $10.4M |
—CHINA DISTANCE ED HLDGS LTD | $10.4M |
—PACIFIC CITY FINANCIAL CORP | $10.4M |
—CYBEROPTICS CORP | $10.4M |
—ADESTO TECHNOLOGIES CORP | $10.3M |
DYDYCOM INDS INC | $10.3M |
—SPRINT CORPORATION | $10.2M |
MXLMAXLINEAR INC | $10.2M |
—NEON THERAPEUTICS INC | $10.2M |
NVMINOVA MEASURING INSTRUMENTS L | $10.2M |
IWNISHARES TR | $10.2M |
FRPTFRESHPET INC | $10.1M |
—CHEMICAL FINL CORP | $10.1M |
CVCYUSDCENTRAL VALLEY CMNTY BANCORP | $10.0M |
ANFABERCROMBIE & FITCH CO | $9.9M |
NFGNATIONAL FUEL GAS CO N J | $9.9M |
STAYUSDEXTENDED STAY AMER INC | $9.9M |
TRPAHARTFORD FDS EXCHANGE TRADE | $9.9M |
CLFCLEVELAND CLIFFS INC | $9.8M |