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Matarin Capital Management, LLC

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
Emergent BioSolutions Inc. EBSCOMMON19,133-65,6601,714,000-4,991,0000.420.04 Hist 12/31/2020
RLJ Lodging Trust RLJCOM71,999-412,4231,019,000-3,554,0000.250.04 Hist 12/31/2020
BENCHMARK ELECTRONICS INC BHECommon64,667-134,0391,747,000-2,545,0000.430.18 Hist 12/31/2020
BIG LOTS INC BIGCommon82,852-58,6823,557,000-2,387,0000.870.22 Hist 12/31/2020
Innoviva, Inc. INVACOM203,655-136,3732,523,000-2,231,0000.620.20 Hist 12/31/2020
Medpace Holdings, Inc. MEDPSTOCK22,096-32,7363,076,000-2,024,0000.750.06 Hist 12/31/2020
USANA HEALTH SCIENCES INC USNACOM41,208-29,5853,177,000-2,021,0000.780.20 Hist 12/31/2020
INGLES MARKETS INC IMKTACOM STK37,570-45,9651,603,000-1,995,0000.390.19 Hist 12/31/2020
SUPERNUS PHARMACEUTICALS, INC. SUPNCALL129,607-87,1363,261,000-1,887,0000.800.25 Hist 12/31/2020
MAGELLAN HEALTH INC MGLNCommon50,128-32,4014,153,000-1,870,0001.010.20 Hist 12/31/2020
AMKOR TECHNOLOGY, INC. AMKRCommon310,013-220,0314,675,000-1,850,0001.140.13 Hist 12/31/2020
SHOE CARNIVAL INC SCVLCommon50,696-78,3271,986,000-1,791,0000.490.36 Hist 12/31/2020
Preferred Bank PFBCCOM43,959-49,4432,219,000-1,783,0000.54  Hist 12/31/2020
MCGRATH RENTCORP MGRCCommon27,253-38,0081,829,000-1,696,0000.450.11 Hist 12/31/2020
Piedmont Office Realty Trust, Inc. PDMCOM CL A130,983-96,0572,126,000-1,645,0000.520.10 Hist 12/31/2020
Evercore Inc. EVRCOM STK26,828-47,3572,941,000-1,430,0000.720.07 Hist 12/31/2020
ATLAS AIR WORLDWIDE HOLDINGS INC AAWWCOM66,927-50,0523,650,000-1,384,0000.890.24 Hist 12/31/2020
AMERICAN WOODMARK CORP AMWDCommon40,121-27,9293,765,000-1,383,0000.920.24 Hist 12/31/2020
EVERTEC, Inc. EVTCCOM107,014-91,7464,208,000-1,377,0001.030.15 Hist 12/31/2020
Perspecta Inc. PRSPCommon125,493-62,0633,022,000-1,335,0000.740.08 Hist 12/31/2020
STEPAN CO SCLCommon34,203-20,9104,081,000-1,270,0001.000.15 Hist 12/31/2020
PIPER SANDLER COMPANIES PIPRCommon26,538-39,0022,678,000-1,199,0000.650.15 Hist 12/31/2020
STEELCASE INC SCSCommon170,199-120,0282,306,000-1,194,0000.560.15 Hist 12/31/2020
NATIONAL FUEL GAS CO NFGCommon59,006-26,9702,427,000-1,178,0000.590.06 Hist 12/31/2020
MERIDIAN INTERSTATE BANCORP INC EBSBCOM92,756-125,4411,383,000-1,148,0000.34  Hist 12/31/2020
HOME BANCSHARES INC HOMBCOM STK140,091-111,3122,729,000-1,138,0000.670.08 Hist 12/31/2020
RAMBUS INC RMBSCommon137,215-93,7222,396,000-1,114,0000.590.12 Hist 12/31/2020
FRANKLIN STREET PROPERTIES CORP FSPCOM247,408-179,7921,081,000-1,093,0000.26  Hist 12/31/2020
HOME DEPOT, INC. HDCommon11,414-4,9303,032,000-1,062,0000.740.00 Hist 12/31/2020
INTEL CORP INTCCommon61,267-7,4113,052,000-1,057,0000.750.00 Hist 12/31/2020
MICROSOFT CORP MSFTCommon15,621-6,6113,474,000-1,050,0000.850.00 Hist 12/31/2020
URBAN OUTFITTERS INC URBNCommon83,193-124,3412,130,000-1,029,0000.520.09 Hist 12/31/2020
CENTRAL GARDEN & PET CO CENTACommon106,573-38,4053,872,000-1,027,0000.950.19 Hist 12/31/2020
ENCORE WIRE CORP WIRECommon59,299-35,0023,592,000-1,012,0000.880.29 Hist 12/31/2020
MUELLER INDUSTRIES INC MLICommon107,909-71,7303,789,000-986,0000.930.19 Hist 12/31/2020
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