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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
MB FINANCIAL INC /MD MBFICommon2,097,1444,55694,413,0002,255,00009/30/2017
COLUMBIA BANKING SYSTEM INC COLBCommon2,212,545-97,07393,171,0001,133,00009/30/2017
PACWEST BANCORP PACWCOMMON STOCK1,772,6442,75689,536,0006,883,00009/30/2017
GENESEE & WYOMING INC GWRCommon1,179,986-81,75987,331,0001,040,00009/30/2017
LIGAND PHARMACEUTICALS INC LGNDCOM623,341-178,10184,868,000-12,427,00009/30/2017
KAR Auction Services, Inc. KARCOM1,693,803-178,08780,862,0002,299,00009/30/2017
BGC Partners, Inc. BGCPCL A5,496,476295,17279,534,00013,790,00009/30/2017
SILGAN HOLDINGS INC SLGNCommon2,505,48150,31673,737,000-4,288,00009/30/2017
MEDICAL PROPERTIES TRUST INC MPWCommon5,415,728-375,73071,108,000-3,428,00009/30/2017
TELEDYNE TECHNOLOGIES INC TDYCommon424,873-30,70667,631,0009,476,00009/30/2017
IAC/INTERACTIVECORP IACICOM PAR $.001569,517-242,67066,963,000-16,887,00009/30/2017
Howard Hughes Corp HHCCOM553,924-40,48065,324,000-7,693,00009/30/2017
ACI WORLDWIDE, INC. ACIWCommon2,709,0999,08261,713,0001,314,00009/30/2017
BWX Technologies, Inc. BWXTCOM1,083,433-565,76160,694,000-19,704,00009/30/2017
LITHIA MOTORS INC LADCL A493,46279759,368,00012,944,00009/30/2017
Silicon Motion Technology CORP SIMOSP ADR1,139,005110,29854,706,0005,092,00009/30/2017
KAMAN Corp KAMNCommon969,160-59,75454,060,0002,748,00009/30/2017
J2 GLOBAL, INC. JCOMCommon686,41689,09950,712,000-113,00009/30/2017
VALVOLINE INC VVVCOM2,057,386-101,67448,246,000-2,967,00009/30/2017
Six Flags Entertainment Corp SIXCOM771,96542,27347,044,0003,547,00009/30/2017
SOUTH STATE Corp SSBCOM509,5403,44545,884,0002,511,00009/30/2017
NEXSTAR MEDIA GROUP, INC. NXSTCOM704,388704,38843,883,00043,883,00009/30/2017
CBIZ, Inc. CBZCommon2,665,446-290,57043,314,000-1,026,00009/30/2017
CALLON PETROLEUM CO CPECommon3,836,592-421,87543,123,000-2,059,00009/30/2017
PACIFIC PREMIER BANCORP INC PPBICommon1,138,24537,18542,969,0002,340,00009/30/2017
LAKELAND BANCORP INC LBAICOM2,019,115131,97741,190,0005,617,00009/30/2017
Colony Starwood Homes SFRCOM1,043,7031,043,70337,959,00037,959,00009/30/2017
FIRSTCASH, INC FCFSSTOCK573,397-84,20936,210,000-2,129,00009/30/2017
CALAVO GROWERS INC CVGWCommon457,635340,86033,498,00025,434,00009/30/2017
SLM CORP SLMCommon2,909,202-217,55733,368,000-2,590,00009/30/2017
ADVISORY BOARD CO ABCOCommon619,316-412,38633,211,000-19,922,00009/30/2017
PDF SOLUTIONS INC PDFSCOM2,094,663-440,72232,446,000-9,261,00009/30/2017
MGP INGREDIENTS INC MGPICommon521,605-198,62631,625,000-5,229,00009/30/2017
FMC CORP FMCCommon346,830-85,25330,975,000-589,00009/30/2017
MATECH Corp. MTCHCOM1,318,840-92,72030,583,0006,050,00009/30/2017
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