HoldingsChannel.com
Cardinal Capital Management LLC CT Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
SILGAN HOLDINGS INC 4,058,664 +394,596 $117,782
     SLGN4,058,664+394,596$117,782
ACI WORLDWIDE INC 4,665,484 -65,077 $112,671
     ACIW4,665,484-65,077$112,671
MEDICAL PPTYS TRUST INC 5,775,047 -1,087,558 $99,851
     MPW5,775,047-1,087,558$99,851
SILICON MOTION TECHNOLOGY CO 2,328,802 -35,566 $85,374
     SIMO2,328,802-35,566$85,374
J2 GLOBAL INC 1,099,896 +178,946 $82,327
     JCOM1,099,896+178,946$82,327
LIGAND PHARMACEUTICALS INC 982,049 +62,055 $71,415
     LGND982,049+62,055$71,415
HOSTESS BRANDS INC 6,390,657 +911,707 $68,124
     TWNK6,390,657+911,707$68,124
COLFAX CORP 3,428,755 -58,292 $67,889
     CFX3,428,755-58,292$67,889
COLUMBIA BKG SYS INC 2,480,741 -15,059 $66,484
     COLB2,480,741-15,059$66,484
LITHIA MTRS INC 749,594 +4,936 $61,309
     LAD749,594+4,936$61,309
F M C CORP 736,436 -122,103 $60,159
     FMC736,436-122,103$60,159
NEXSTAR MEDIA GROUP INC 986,149 +34,285 $56,930
     NXST986,149+34,285$56,930
IAA INC 1,869,480 +45,528 $56,010
     IAA1,869,480+45,528$56,010
CBIZ INC 2,633,640 -72,770 $55,096
     CBZ2,633,640-72,770$55,096
PACWEST BANCORP DEL 2,899,362 -4,357 $51,957
     PACW2,899,362-4,357$51,957
VERINT SYS INC 1,192,348 +778,674 $51,271
     VRNT1,192,348+778,674$51,271
KAR AUCTION SVCS INC 4,039,727 -11,657 $48,477
     KAR4,039,727-11,657$48,477
COMMUNITY HEALTHCARE TR INC 1,243,015 +44,983 $47,583
     CHCT1,243,015+44,983$47,583
TELEDYNE TECHNOLOGIES INC 157,917 -59,928 $46,944
     TDY157,917-59,928$46,944
HOWARD HUGHES CORP 919,659 +217,174 $46,461
     HHC919,659+217,174$46,461
FIRST MERCHANTS CORP 1,549,662 -11,583 $41,051
     FRME1,549,662-11,583$41,051
BWX TECHNOLOGIES INC 828,860 +828,860 $40,374
     BWXT828,860+828,860$40,374
BGC PARTNERS INC 15,257,944 +327,641 $38,450
     BGCP15,257,944+327,641$38,450
CHANGE HEALTHCARE INC 3,547,519 +3,547,519 $35,440
     CHNGV3,547,519+3,547,519$35,440
ITRON INC 618,531 -161,298 $34,533
     ITRI618,531-161,298$34,533
KAMAN CORP 832,930 +76,550 $32,043
     KAMN832,930+76,550$32,043
GAMING & LEISURE PPTYS INC 1,128,942 -317,291 $31,283
     GLPI1,128,942-317,291$31,283
TRINITY INDS INC 1,912,653 +207,974 $30,736
     TRN1,912,653+207,974$30,736
STARWOOD PPTY TR INC 2,725,323 +1,061,341 $27,935
     STWD2,725,323+1,061,341$27,935
SYNEOS HEALTH INC 698,954 -102,207 $27,553
     SYNH698,954-102,207$27,553
PROVIDENCE SVC CORP 440,410 +46,671 $24,170
     PRSC440,410+46,671$24,170
PHYSICIANS RLTY TR 1,669,040 +1,669,040 $23,266
     DOC1,669,040+1,669,040$23,266
PACIFIC PREMIER BANCORP 1,209,651 +46,188 $22,790
     PPBI1,209,651+46,188$22,790
OXFORD INDS INC 609,016 -24,786 $22,083
     OXM609,016-24,786$22,083
ESCO TECHNOLOGIES INC 285,528 +42,801 $21,674
     ESE285,528+42,801$21,674
ASHLAND GLOBAL HLDGS INC 408,261 +61,334 $20,470
     ASH408,261+61,334$20,470
CALAVO GROWERS INC 336,971 -3,733 $19,440
     CVGW336,971-3,733$19,440
WENDYS CO 1,195,726 -804,289 $17,792
     WEN1,195,726-804,289$17,792
IAC INTERACTIVECORP 90,710 -27,334 $16,258
     IAC90,710-27,334$16,258
AXALTA COATING SYS LTD 872,240 +81,963 $15,064
     AXTA872,240+81,963$15,064
VIPER ENERGY PARTNERS LP 2,200,510 +507,550 $14,589
     VNOM2,200,510+507,550$14,589
NUANCE COMMUNICATIONS INC 868,092 +27,332 $14,567
     NUAN868,092+27,332$14,567
FB FINL CORP 729,467 -16,772 $14,385
     FBK729,467-16,772$14,385
DENNYS CORP 1,715,725 -238,148 $13,177
     DENN1,715,725-238,148$13,177
NEWMARK GROUP INC 2,777,678 -16,880 $11,805
     NMRK2,777,678-16,880$11,805
INVITATION HOMES INC 531,462 -176,375 $11,357
     INVH531,462-176,375$11,357
RATTLER MIDSTREAM LP 3,260,100 +715,741 $11,345
     RTLR3,260,100+715,741$11,345
BANCFIRST CORP 330,505 +2,828 $11,029
     BANF330,505+2,828$11,029
VERRA MOBILITY CORP 1,403,135 -1,432,684 $10,018
     VRRM1,403,135-1,432,684$10,018
CIRCOR INTL INC 781,191 +281,064 $9,085
     CIR781,191+281,064$9,085

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

See Details: Top 10 Stocks Held By Cardinal Capital Management LLC CT

Size ($ in 1000's)
At 03/31/2020: $2,032,933
At 12/31/2019: $3,276,482

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

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

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