HoldingsChannel.com
Cardinal Capital Management LLC CT Top Holdings
As of  12/31/2022, below is a summary of the Cardinal Capital Management LLC CT top holdings by largest position size, as per the latest 13f filing made by Cardinal Capital Management LLC CT. In the Cardinal Capital Management LLC CT-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Cardinal Capital Management LLC CT in that top holding, then the share count change between reporting periods, and finally the Cardinal Capital Management LLC CT top holding position size for that row.

   EntityAmountChange
 09/30/2022 to 12/31/2022
Position Size
($ in 1000's)
SILGAN HOLDINGS INC 3,410,503 -162,068 $176,800
     SLGN3,410,503-162,068$176,800
NEXSTAR MEDIA GROUP INC 943,570 -22,352 $165,153
     NXST943,570-22,352$165,153
ZIFF DAVIS INC 1,462,219 -43,514 $115,662
     ZD1,462,219-43,514$115,662
DT MIDSTREAM INC 1,889,105 -5,215 $104,392
     DTM1,889,105-5,215$104,392
BWX TECHNOLOGIES INC 1,783,956 -43,805 $103,612
     BWXT1,783,956-43,805$103,612
GAMING & LEISURE PPTYS INC 1,930,006 -45,035 $99,859
     GLPI1,930,006-45,035$99,859
VERINT SYS INC 2,706,721 +231,245 $98,200
     VRNT2,706,721+231,245$98,200
PACWEST BANCORP DEL 4,186,950 -156,761 $96,091
     PACW4,186,950-156,761$96,091
FIRST MERCHANTS CORP 2,296,640 -62,458 $94,415
     FRME2,296,640-62,458$94,415
STARWOOD PPTY TR INC 4,990,235 -137,341 $91,471
     STWD4,990,235-137,341$91,471
MAGNOLIA OIL & GAS CORP 3,885,157 -91,379 $91,107
     MGY3,885,157-91,379$91,107
WILEY JOHN & SONS INC 2,132,246 +8,691 $85,418
     WLY2,132,246+8,691$85,418
ACI WORLDWIDE INC 3,440,646 -158,506 $79,135
     ACIW3,440,646-158,506$79,135
SPECTRUM BRANDS HLDGS INC NE 1,293,961 -59,582 $78,828
     SPB1,293,961-59,582$78,828
LITHIA MTRS INC 382,445 -11,903 $78,302
     LAD382,445-11,903$78,302
COLUMBIA BKG SYS INC 2,523,261 -94,169 $76,026
     COLB2,523,261-94,169$76,026
ASHLAND INC 667,762 -18,391 $71,804
     ASH667,762-18,391$71,804
PACIFIC PREMIER BANCORP 2,269,577 -65,592 $71,628
     PPBI2,269,577-65,592$71,628
KAR AUCTION SVCS INC 5,359,758 -246,455 $69,945
     KAR5,359,758-246,455$69,945
GXO LOGISTICS INCORPORATED 1,596,902 +554,129 $68,172
     GXO1,596,902+554,129$68,172
MEDICAL PPTYS TRUST INC 5,919,524 +325,650 $65,943
     MPW5,919,524+325,650$65,943
ENOVIS CORPORATION 1,192,157 -37,867 $63,804
     ENOV1,192,157-37,867$63,804
AXALTA COATING SYS LTD 2,374,932 -65,926 $60,490
     AXTA2,374,932-65,926$60,490
ESAB CORPORATION 1,232,010 +45,198 $57,806
     ESAB1,232,010+45,198$57,806
VERRA MOBILITY CORP 4,136,741 +1,602,565 $57,211
     VRRM4,136,741+1,602,565$57,211
FMC CORP 457,631 -10,160 $57,112
     FMC457,631-10,160$57,112
BGC PARTNERS INC 15,004,084 -469,813 $56,565
     BGCP15,004,084-469,813$56,565
CBIZ INC 1,193,419 -94,255 $55,912
     CBZ1,193,419-94,255$55,912
VIPER ENERGY PARTNERS LP 1,615,171 -37,737 $51,346
     VNOM1,615,171-37,737$51,346
LESLIES INC 4,021,760 -175,214 $49,106
     LESL4,021,760-175,214$49,106
VICTORIAS SECRET AND CO 1,252,693 -30,304 $44,821
     VSCO1,252,693-30,304$44,821
LIVANOVA PLC 732,157 +47,685 $40,664
     LIVN732,157+47,685$40,664
EQUITY COMWLTH 1,625,727 +1,625,727 $40,594
     EQC1,625,727+1,625,727$40,594
CONSENSUS CLOUD SOLUTIONS IN 732,249 +52,417 $39,366
     CCSI732,249+52,417$39,366
NEWMARK GROUP INC 4,687,035 -158,580 $37,356
     NMRK4,687,035-158,580$37,356
IAA INC 886,930 -20,551 $35,477
     IAA886,930-20,551$35,477
FB FINL CORP 958,016 -31,428 $34,623
     FBK958,016-31,428$34,623
MODIVCARE INC 371,556 +48,016 $33,340
     MODV371,556+48,016$33,340
EURONET WORLDWIDE INC 347,302 -9,736 $32,778
     EEFT347,302-9,736$32,778
TELEDYNE TECHNOLOGIES INC 71,147 -1,940 $28,452
     TDY71,147-1,940$28,452
KAMAN CORP 1,243,548 -63,237 $27,731
     KAMN1,243,548-63,237$27,731
FULLER H B CO 385,449 -10,890 $27,606
     FUL385,449-10,890$27,606
OXFORD INDS INC 233,307 -33,698 $21,740
     OXM233,307-33,698$21,740
HELEN OF TROY LTD 185,735 -4,972 $20,600
     HELE185,735-4,972$20,600
FORWARD AIR CORP 195,078 -152,798 $20,462
     FWRD195,078-152,798$20,462
COMMUNITY HEALTHCARE TR INC 548,138 -21,630 $19,623
     CHCT548,138-21,630$19,623
XPO INC 540,471 -13,793 $17,992
     XPO540,471-13,793$17,992
OSI SYSTEMS INC 214,331 -7,676 $17,044
     OSIS214,331-7,676$17,044
ISHARES TR (IWN) 118,148 +118,148 $16,375
     IWN118,148+118,148$16,375
WIDEOPENWEST INC 1,509,249 +42,798 $13,749
     WOW1,509,249+42,798$13,749

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 12/31/2022: $3,100,141
At 09/30/2022: $2,908,269

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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