HoldingsChannel.com
Beryl Capital Management LLC Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
ALLERGAN PLC 410,424 +375,791 $78,461
     AGN410,424+375,791$78,461
TIFFANY & CO NEW 559,900 +559,900 $74,831
     TIF559,900+559,900$74,831
WELLCARE HEALTH PLANS INC 200,606 +99,410 $66,242
     WCG200,606+99,410$66,242
MEDICINES CO 711,667 +711,667 $60,449
     MDCO711,667+711,667$60,449
INTERXION HOLDING N.V 453,433 +453,433 $38,002
     INXN453,433+453,433$38,002
AUDENTES THERAPEUTICS INC 550,426 +550,426 $32,937
     BOLD550,426+550,426$32,937
CAESARS ENTMT CORP 2,156,018 +1,333,964 $29,322
     CZR2,156,018+1,333,964$29,322
WESCO AIRCRAFT HLDGS INC 2,447,363 +2,447,363 $26,970
     WAIR2,447,363+2,447,363$26,970
TECH DATA CORP 183,527 +183,527 $26,354
     TECD183,527+183,527$26,354
ARQULE INC 1,208,101 +1,208,101 $24,114
     ARQL1,208,101+1,208,101$24,114
TEEKAY OFFSHORE PARTNERS L P 13,024,380 +13,024,380 $20,058
     TOO13,024,380+13,024,380$20,058
PARSLEY ENERGY INC 1,024,925 +1,024,925 $19,381
     PE1,024,925+1,024,925$19,381
CISION LTD 1,776,448 +1,776,448 $17,711
     CISN1,776,448+1,776,448$17,711
TALLGRASS ENERGY LP 788,560 +788,560 $17,443
     TGE788,560+788,560$17,443
BRISTOL MYERS SQUIBB CO      $17,219
     RIGHT 99 99 99995,720,607+5,720,607$17,219
LADENBURG THALMAN FIN SVCS I 4,823,765 +4,823,765 $16,787
     LTS4,823,765+4,823,765$16,787
EL PASO ELEC CO 177,081 +177,081 $12,022
     EE177,081+177,081$12,022
ANIXTER INTL INC 56,043 +56,043 $5,162
     AXE56,043+56,043$5,162
CLEVELAND CLIFFS INC 562,738 +562,738 $4,727
     CLF562,738+562,738$4,727
OMNOVA SOLUTIONS INC 319,496 +60,068 $3,230
     OMN319,496+60,068$3,230
LIBERTY PPTY TR 42,947 +42,947 $2,579
     LPT42,947+42,947$2,579
INSTRUCTURE INC 48,744 +48,744 $2,350
     INST48,744+48,744$2,350
WELLESLEY BANCORP INC 40,000 +40,000 $1,810
     WEBK40,000+40,000$1,810
SYNTHORX INC 25,653 +25,653 $1,793
     THOR25,653+25,653$1,793
UNITED CMNTY FINL CORP OHIO 152,813 +152,813 $1,782
     UCFC152,813+152,813$1,782
SRC ENERGY INC 406,869 +406,869 $1,676
     SRCI406,869+406,869$1,676
NII HLDGS INC 738,428 +738,428 $1,602
     NIHD738,428+738,428$1,602
PB BANCORP INC 103,924 +103,924 $1,575
     PBBI103,924+103,924$1,575
LYON WILLIAM HOMES 78,772 +78,772 $1,574
     WLH78,772+78,772$1,574
MUTUALFIRST FINL INC 39,639 +39,639 $1,572
     MFSF39,639+39,639$1,572
TWO RIV BANCORP 62,162 +62,162 $1,392
     TRCB62,162+62,162$1,392
MSB FINL CORP NEW 76,936 +76,936 $1,385
     MSBF76,936+76,936$1,385
FSB BANCORP INC 73,073 +73,073 $1,270
     FSBC73,073+73,073$1,270
ENTEGRA FINL CORP 39,166 +39,166 $1,181
     ENFC39,166+39,166$1,181
REPLAY ACQUISITION CORP      $901
     RPLA86,239UNCH$865
     RPLA.WT43,119UNCH$36
CERENCE INC 39,398 +39,398 $892
     CRNCV39,398+39,398$892
CAROLINA TR BANCSHARES INC (CART) 64,927 +64,927 $847
     CART64,927+64,927$847
BANCORP NEW JERSEY INC NEW 31,235 +200 $559
     BKJ31,235+200$559
CARE COM INC 35,497 +35,497 $534
     CRCM35,497+35,497$534
SORL AUTO PTS INC 96,341 +96,341 $428
     SORL96,341+96,341$428
AIRCASTLE LTD 12,165 +12,165 $389
     AYR12,165+12,165$389
VIRGIN GALACTIC HOLDINGS INC      $384
     SPCE.WT114,650+114,650$384
CONDOR HOSPITALITY TR INC 24,366 +24,366 $269
     CDOR24,366+24,366$269
SOUTHWEST GA FINL CORP 6,295 +6,295 $221
     SGB6,295+6,295$221
BROOGE HLDGS LTD 53,384 +53,384 $39
     BROGW53,384+53,384$39
BROADMARK RLTY CAP INC      $23
     BRMK.WT59,232+59,232$23

See Full List: All Stocks Held By Beryl Capital Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions

See Details: Top 10 Stocks Held By Beryl Capital Management LLC

Size ($ in 1000's)
At 12/31/2019: $620,450
At 09/30/2019: $387,830

Beryl Capital Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Beryl Capital Management LLC 13F filings. Link to 13F filings: SEC filings

Beryl Capital Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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