HoldingsChannel.com
Copper Rock Capital Partners LLC Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
ISHARES TR MSCI INDIA SM CP ETF (SMIN) 6,154,766 +5,960,472 $617,347
     SMIN6,154,766+5,960,472$617,347
TIMKEN CO 838,509 +537,346 $564,398
     TKR838,509+537,346$564,398
LANDSTAR SYSTEMS INC 809,454 +660,854 $430,914
     LSTR809,454+660,854$430,914
PORTLAND GENERAL ELECTRIC CO 4,432,705 +4,288,982 $404,070
     POR4,432,705+4,288,982$404,070
HAIN CELESTIAL GROUP INC 12,840,850 +12,840,850 $360,173
     HAIN12,840,850+12,840,850$360,173
SKYWEST INC 536,571 +236,571 $318,737
     SKYW536,571+236,571$318,737
ICF INTERNATIONAL INC 4,109,968 +3,911,307 $278,825
     ICFI4,109,968+3,911,307$278,825
ELEMENT FLEET MANAGEMENT CORP 39,908,287 +38,648,307 $260,468
     COM39,908,287+38,648,307$260,468
LAUDER ESTEE COS INC 2,505,768 +2,464,000 $257,369
     EL2,505,768+2,464,000$257,369
POPULAR INC 3,483,216 +3,299,366 $123,019
     BPOP3,483,216+3,299,366$123,019
FRONTDOOR INC 1,545,541 +1,181,018 $50,278
     FTDR1,545,541+1,181,018$50,278
BOISE CASCADE CO 2,056,197 +2,056,197 $48,735
     BCC2,056,197+2,056,197$48,735
ADOBE SYSTEMS INC 48,167 +6,830 $20,967
     ADBE48,167+6,830$20,967
FTI CONSULTING INC 161,775 +68,178 $18,531
     FCN161,775+68,178$18,531
GENERAC HOLDINGS INC 136,732 -90,773 $16,672
     GNRC136,732-90,773$16,672
ELECTRONIC ARTS INC 121,442 -95,391 $16,036
     EA121,442-95,391$16,036
FACEBOOK INC 59,110 -3,496 $13,422
     FB59,110-3,496$13,422
TRUIST FINL CORP 355,355 +355,355 $13,344
     TFC355,355+355,355$13,344
ZOETIS INC 111,205 -24,778 $13,344
     ZTS111,205-24,778$13,344
MICROSOFT CORP 64,268 +64,268 $13,079
     MSFT64,268+64,268$13,079
PTC INC 163,598 +163,598 $12,726
     PTC163,598+163,598$12,726
CHEGG INC 186,677 +186,677 $12,556
     CHGG186,677+186,677$12,556
TANDEM DIABETES CARE INC 124,132 +124,132 $12,279
     TNDM124,132+124,132$12,279
LHC GROUP INC 69,504 -60,021 $12,116
     LHCG69,504-60,021$12,116
ILLUMINA INC 32,013 -4,860 $11,856
     ILMN32,013-4,860$11,856
ALPHABET INC 8,210 -1,073 $11,606
     GOOG8,210-1,073$11,606
THERMO FISHER SCIENTIFIC INC 31,660 +31,660 $11,472
     TMO31,660+31,660$11,472
PERFICIENT INC 311,559 -132,366 $11,148
     PRFT311,559-132,366$11,148
FLAGSTAR BANCORP INC 378,129 +378,129 $11,128
     FBC378,129+378,129$11,128
BLACKLINE INC 134,033 -114,047 $11,113
     BL134,033-114,047$11,113
QUANTA SERVICES INC 283,262 -181,399 $11,112
     PWR283,262-181,399$11,112
ARCOSA INC 263,159 -165,617 $11,105
     ACA263,159-165,617$11,105
LAMB WESTON HOLDINGS INC 170,417 +60,296 $10,895
     LW170,417+60,296$10,895
INPHI CORP 92,231 -81,471 $10,837
     IPHI92,231-81,471$10,837
GROCERY OUTLET HOLDING CORP 262,313 -274,670 $10,702
     GO262,313-274,670$10,702
NV5 GLOBAL INC 209,913 -104,473 $10,670
     NVEE209,913-104,473$10,670
FISERV INC 107,792 -23,136 $10,523
     FISV107,792-23,136$10,523
FIRSTSERVICE CORP 103,881 -62,377 $10,468
     FSV103,881-62,377$10,468
AGREE REALTY CORP 158,640 -73,659 $10,424
     ADC158,640-73,659$10,424
DECKERS OUTDOOR CORP 52,315 +52,315 $10,274
     DECK52,315+52,315$10,274
PAREX RES INC 843,494 -179,767 $10,169
     COM843,494-179,767$10,169
CHARLES RIVER LABS INTL INC 58,062 -44,827 $10,123
     CRL58,062-44,827$10,123
PHIBRO ANIMAL HEALTH CORP 384,470 +201,581 $10,100
     PAHC384,470+201,581$10,100
NORTHLAND POWER INC 402,986 +402,986 $10,091
     COM402,986+402,986$10,091
ELEMENT SOLUTIONS INC 909,280 -471,088 $9,866
     ESI909,280-471,088$9,866
DARLING INGREDIENTS INC 399,801 -264,406 $9,843
     DAR399,801-264,406$9,843
R1 RCM INC 878,917 -314,342 $9,800
     RCM878,917-314,342$9,800
ADVANCED ENERGY INDUSTRIES INC 141,901 -117,442 $9,619
     AEIS141,901-117,442$9,619
GIBRALTAR INDUSTRIES INC 199,980 +199,980 $9,601
     ROCK199,980+199,980$9,601
AUTONATION INC 254,561 +254,561 $9,566
     AN254,561+254,561$9,566

See Full List: All Stocks Held By Copper Rock Capital Partners LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Copper Rock Capital Partners LLC

Size ($ in 1000's)
At 06/30/2020: $4,314,007
At 03/31/2020: $10,191,084

Combined Holding Report Includes:
Copper Rock Capital Partners LLC
BrightSphere Inc.

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

Copper Rock Capital Partners LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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