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MindShare Capital Management, LLC

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
DYAX CORP DYAXCommon246,42572,5301,074,000469,0002.56  Hist 03/31/2013
TRINITY BIOTECH PLC TRIBSPON ADR NEW50,55019,550853,000406,0002.03  Hist 03/31/2013
POWERSECURE INTERNATIONAL, INC. POWRCOM41,41013,800526,000310,0001.25  Hist 03/31/2013
CUTERA INC CUTRCommon41,2854,220537,000203,0001.28  Hist 03/31/2013
Differential Brands Group Inc. JOEZCMN271,4504,915461,000194,0001.100.40 Hist 03/31/2013
NEOGENOMICS INC NEOCOMMON121,775850479,000179,0001.140.27 Hist 03/31/2013
MEDASSETS INC MDASCommon41,8952,855806,000151,0001.920.07 Hist 03/31/2013
QUIDEL CORP /DE/ QDELCOM19,945155474,000105,0001.130.06 Hist 03/31/2013
FRANKLIN COVEY CO FCCommon28,5754,520415,000105,0000.990.16 Hist 03/31/2013
Option Care Health, Inc. BIOSCommon46,525350591,00094,0001.410.08 Hist 03/31/2013
ASPEN TECHNOLOGY INC AZPNCommon17,770135574,00087,0001.37  Hist 03/31/2013
NOVADAQ TECHNOLOGIES INC NVDQCommon51,935395515,00057,0001.23  Hist 03/31/2013
WABASH NATIONAL Corp WNCCommon39,330285400,00050,0000.95  Hist 03/31/2013
Actua Corp ICGECOM34,265255428,00039,0001.02  Hist 03/31/2013
FARMER BROTHERS CO FARMCommon30,325225446,00012,0001.06  Hist 03/31/2013
AMARIN CORP PLC AMRNSPONS ADR NEW33,6351,730249,000-9,0000.59  Hist 03/31/2013
8X8 INC /DE/ EGHTCOM74,655565511,000-36,0001.22  Hist 03/31/2013
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