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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
PACWEST BANCORP PACWCOMMON STOCK1,908,182-194,331101,629,000-12,832,00003/31/2017
COLUMBIA BANKING SYSTEM INC COLBCommon2,278,937264,17988,856,000-1,164,00003/31/2017
MB FINANCIAL INC /MD MBFICommon2,063,480114,43988,358,000-3,695,00003/31/2017
KAR Auction Services, Inc. KARCOM2,020,398-50,21788,231,000-18,00003/31/2017
LIGAND PHARMACEUTICALS INC LGNDCOM791,16723,68283,737,0005,753,00003/31/2017
BWX Technologies, Inc. BWXTCOM1,719,428-139,25681,844,0008,055,00003/31/2017
Howard Hughes Corp HHCCOM678,844-15,74579,594,000341,00003/31/2017
New York REIT, Inc. NYRTCOM7,808,9746,473,42475,669,00062,153,00003/31/2017
GENESEE & WYOMING INC GWRCommon1,081,52898,10473,393,0005,133,00003/31/2017
IAC/INTERACTIVECORP IACICOM PAR $.001937,279-219,05169,096,000-5,823,00003/31/2017
MEDICAL PROPERTIES TRUST INC MPWCommon5,332,704926,00268,739,00014,537,00003/31/2017
BGC Partners, Inc. BGCPCL A5,459,426-1,736,84562,019,000-11,599,00003/31/2017
SILGAN HOLDINGS INC SLGNCommon1,040,902-110,23661,788,0002,873,00003/31/2017
TELEDYNE TECHNOLOGIES INC TDYCommon439,46811,23755,575,0002,902,00003/31/2017
CALLON PETROLEUM CO CPECommon4,204,618330,64455,333,000-4,210,00003/31/2017
ACI WORLDWIDE, INC. ACIWCommon2,560,06484,24654,760,0009,824,00003/31/2017
PDF SOLUTIONS INC PDFSCOM2,387,688224,76654,010,0005,236,00003/31/2017
Six Flags Entertainment Corp SIXCOM874,132-65,22652,002,000-4,322,00003/31/2017
ADVISORY BOARD CO ABCOCommon1,072,1381,072,13850,176,00050,176,00003/31/2017
J2 GLOBAL, INC. JCOMCommon591,000-63,92449,591,000-3,981,00003/31/2017
KAMAN Corp KAMNCommon1,016,553-58,74548,926,000-3,688,00003/31/2017
FIRSTCASH, INC FCFSSTOCK969,94221,81847,673,0003,112,00003/31/2017
Silicon Motion Technology CORP SIMOSP ADR973,346148,48345,504,00010,464,00003/31/2017
MGP INGREDIENTS INC MGPICommon787,262-38,21942,693,0001,435,00003/31/2017
VALVOLINE INC VVVCOM1,713,783177,74042,074,0009,049,00003/31/2017
CBIZ, Inc. CBZCommon2,938,458102,67839,816,000966,00003/31/2017
Colony Starwood Homes SFRCOM1,154,212-138,48739,185,0001,942,00003/31/2017
LITHIA MOTORS INC LADCL A422,67214,10736,202,000-3,359,00003/31/2017
SLM CORP SLMCommon2,882,326-275,99634,876,00071,00003/31/2017
PACIFIC PREMIER BANCORP INC PPBICommon875,115875,11533,736,00033,736,00003/31/2017
CHEMED CORP CHECommon158,334-72,80328,926,000-8,151,00003/31/2017
CARDINAL FINANCIAL CORP CFNLCommon963,692-205,84928,853,000-9,496,00003/31/2017
LAKELAND BANCORP INC LBAICOM1,466,8911,297,84128,751,00025,455,00003/31/2017
CTS CORP CTSCommon1,258,796-87,11726,813,000-3,335,00003/31/2017
STARWOOD PROPERTY TRUST, INC. STWDCOM1,175,194-752,82326,536,000-15,784,00003/31/2017
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