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SKYLINE ASSET MANAGEMENT LP

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
BMC STOCK HOLDINGS, INC. BMCHCOM34,000-206,8201,825,000-8,489,0002.350.05 Hist 12/31/2020
Dine Brands Global, Inc. DINCOM30,600-133,0001,775,000-7,156,0002.290.19 Hist 12/31/2020
Essent Group Ltd. ESNTCommon37,300-199,4501,611,000-7,151,0002.080.03 Hist 12/31/2020
SHYFT GROUP, INC. SHYFCOM45,500-398,6741,291,000-7,095,0001.670.13 Hist 12/31/2020
PERFICIENT INC PRFTCommon30,300-162,5001,444,000-6,796,0001.860.09 Hist 12/31/2020
SPX Technologies, Inc. SPWCommon29,200-151,2001,593,000-6,774,0002.060.07 Hist 12/31/2020
SANMINA CORP SANMCOM46,300-245,9101,477,000-6,427,0001.910.07 Hist 12/31/2020
COMPASS MINERALS INTERNATIONAL INC CMPCommon20,200-108,3001,247,000-6,379,0001.610.06 Hist 12/31/2020
BEACON ROOFING SUPPLY INC BECNCommon34,400-215,2001,383,000-6,372,0001.780.05 Hist 12/31/2020
Hillenbrand, Inc. HICOM47,400-239,5001,887,000-6,249,0002.430.06 Hist 12/31/2020
JELD-WEN Holding, Inc. JELDCOM49,000-282,1151,243,000-6,240,0001.600.05 Hist 12/31/2020
GIBRALTAR INDUSTRIES, INC. ROCKCommon19,100-95,9001,374,000-6,117,0001.770.06 Hist 12/31/2020
Orion S.A. OECCOM103,600-524,0001,776,000-6,075,0002.290.17 Hist 12/31/2020
Knowles Corp KNCOM79,600-425,5001,467,000-6,059,0001.890.09 Hist 12/31/2020
FERRO CORP FOECommon94,200-503,7001,378,000-6,036,0001.780.11 Hist 12/31/2020
MINERALS TECHNOLOGIES INC MTXCommon23,300-122,8001,447,000-6,019,0001.870.07 Hist 12/31/2020
KEMPER Corp KMPRCOM17,048-90,8591,310,000-5,901,0001.690.03 Hist 12/31/2020
TTM TECHNOLOGIES INC TTMICommon100,300-533,6001,384,000-5,849,0001.790.09 Hist 12/31/2020
AMERICAN WOODMARK CORP AMWDCommon14,300-76,9001,342,000-5,821,0001.730.08 Hist 12/31/2020
REINSURANCE GROUP OF AMERICA INC RGACommon12,100-63,6471,402,000-5,808,0001.810.02 Hist 12/31/2020
LCI INDUSTRIES LCIICommon11,200-56,6751,452,000-5,762,0001.870.04 Hist 12/31/2020
Focus Financial Partners Inc. FOCSCommon35,600-179,1001,549,000-5,491,0002.000.05 Hist 12/31/2020
FIRST BUSEY CORP /NV/ BUSECOM NEW72,797-362,1431,569,000-5,342,0002.020.13 Hist 12/31/2020
TRIMAS CORP TRSCommon49,500-253,4001,568,000-5,338,0002.020.11 Hist 12/31/2020
BRUNSWICK CORP BCCommon18,300-95,8001,395,000-5,327,0001.800.02 Hist 12/31/2020
National Bank Holdings Corp NBHCCL A42,700-212,6001,399,000-5,303,0001.810.14 Hist 12/31/2020
TPI COMPOSITES, INC TPICSTOCK21,300-200,1001,124,000-5,288,0001.450.06 Hist 12/31/2020
ManpowerGroup Inc. MANCommon16,400-74,1001,479,000-5,157,0001.910.03 Hist 12/31/2020
Acadia Healthcare Company, Inc. ACHCCOM33,400-196,8001,679,000-5,107,0002.170.04 Hist 12/31/2020
COLUMBUS MCKINNON CORP CMCOCommon29,200-158,3501,122,000-5,086,0001.450.12 Hist 12/31/2020
WSFS FINANCIAL CORP WSFSCommon42,000-215,7001,885,000-5,065,0002.430.08 Hist 12/31/2020
WNS (HOLDINGS) LTD WNSSPON ADR15,200-79,9981,095,000-4,994,0001.41  Hist 12/31/2020
Zurn Elkay Water Solutions Corp RXNCOM34,100-177,7261,347,000-4,974,0001.740.03 Hist 12/31/2020
BANCORPSOUTH INC BXSCOM56,200-279,0001,542,000-4,954,0001.99  Hist 12/31/2020
UMPQUA HOLDINGS CORP UMPQCommon101,229-506,9141,533,000-4,925,0001.980.05 Hist 12/31/2020
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