HoldingsChannel.com
Kennedy Capital Management Inc. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
LUMENTUM HOLDINGS INC. 421,620 -24,971 $34,333
     LITE421,620-24,971$34,333
STIFEL FINANCIAL CORP. 526,445 +250,610 $24,969
     SF526,445+250,610$24,969
INDEPENDENCE REALTY TRUST INC. 1,998,928 +551,073 $22,968
     IRT1,998,928+551,073$22,968
INFINERA CORPORATION 3,802,422 +591,510 $22,510
     INFN3,802,422+591,510$22,510
UFP INDUSTRIES INC. 452,335 -15,639 $22,395
     UFPI452,335-15,639$22,395
SPIRE INC. 333,413 +5,582 $21,909
     SR333,413+5,582$21,909
NEXPOINT RESIDENTIAL TRUST INC. 617,100 +166,990 $21,814
     NXRT617,100+166,990$21,814
LHC GROUP INC. 124,116 +41,773 $21,636
     LHCG124,116+41,773$21,636
STEEL PARTNERS HOLDINGS 6 SRS A PRF      $20,326
     SPLP.PRA1,093,967+110,021$18,324
     SPLP379,812+8,275$2,002
WINTRUST FINANCIAL CORPORATION 454,290 +191,291 $19,816
     WTFC454,290+191,291$19,816
CLARUS CORPORATION 1,696,486 +20,288 $19,645
     CLAR1,696,486+20,288$19,645
COOPER TIRE & RUBBER COMPANY 705,438 +54,958 $19,477
     CTB705,438+54,958$19,477
OMNICELL INC. 268,829 -57,235 $18,985
     OMCL268,829-57,235$18,985
AMERICA S CAR MART INC. 212,318 +18,519 $18,656
     CRMT212,318+18,519$18,656
XPERI HOLDING CORPORATION 1,249,079 +859,579 $18,436
     XPER1,249,079+859,579$18,436
SUNOPTA INC. 3,899,014 -289,981 $18,325
     STKL3,899,014-289,981$18,325
WNS HOLDINGS LIMITED SPONSORED ADR 327,356 +4,628 $17,998
     WNS327,356+4,628$17,998
MERCURY SYSTEMS INC. 225,291 -29,921 $17,721
     MRCY225,291-29,921$17,721
LIGAND PHARMACEUTICALS INCORPORATED 155,558 -7,273 $17,399
     LGND155,558-7,273$17,399
ORASURE TECHNOLOGIES INC. 1,442,112 +1,442,112 $16,772
     OSUR1,442,112+1,442,112$16,772
BLACK HILLS CORPORATION 292,711 +12,841 $16,585
     BKH292,711+12,841$16,585
SJW GROUP 266,441 -20,754 $16,549
     SJW266,441-20,754$16,549
LITHIA MOTORS INC. CLASS A 106,518 +106,518 $16,119
     LAD106,518+106,518$16,119
SKYLINE CHAMPION CORP. 659,093 +164,130 $16,042
     SKY659,093+164,130$16,042
CASELLA WASTE SYSTEMS INC. CLASS A 300,407 -18,653 $15,657
     CWST300,407-18,653$15,657
DONEGAL GROUP INC. CLASS A 1,060,603 +50,485 $15,082
     DGICA1,060,603+50,485$15,082
ROGERS CORPORATION 120,727 +22,014 $15,043
     ROG120,727+22,014$15,043
UNISYS CORPORATION 1,377,835 +881,078 $15,032
     UIS1,377,835+881,078$15,032
E.L.F. BEAUTY INC. 787,756 -58,879 $15,023
     ELF787,756-58,879$15,023
LIVEPERSON INC. 358,916 +179,749 $14,870
     LPSN358,916+179,749$14,870
AMN HEALTHCARE SERVICES INC. 326,441 -57,364 $14,768
     AMN326,441-57,364$14,768
CERUS CORPORATION 2,132,429 -263,659 $14,074
     CERS2,132,429-263,659$14,074
ESSENTIAL PROPERTIES REALTY TRUST INC. 947,865 +89,777 $14,066
     EPRT947,865+89,777$14,066
E. W. SCRIPPS COMPANY CLASS A 1,605,983 +91,601 $14,052
     SSP1,605,983+91,601$14,052
REXFORD INDUSTRIAL REALTY INC. 338,457 +89,333 $14,022
     REXR338,457+89,333$14,022
COUSINS PROPERTIES INCORPORATED 468,032 +4,622 $13,961
     CUZ468,032+4,622$13,961
PERFICIENT INC. 379,804 +52,688 $13,589
     PRFT379,804+52,688$13,589
CRYOLIFE INC. 706,861 +524,966 $13,551
     CRY706,861+524,966$13,551
OAKTREE SPECIALTY LENDING CORPORATION 2,982,195 +297,357 $13,330
     OCSL2,982,195+297,357$13,330
REGAL BELOIT CORP 152,542 -3,587 $13,320
     RBC152,542-3,587$13,320
CALLAWAY GOLF COMPANY 757,554 -237,528 $13,265
     ELY757,554-237,528$13,265
MERIDIAN BIOSCIENCE INC. 569,201 +151,849 $13,257
     VIVO569,201+151,849$13,257
ALLETE INC. 242,268 -46,813 $13,230
     ALE242,268-46,813$13,230
FIRST INTERSTATE BANCSYSTEM INC. CLASS A 425,231 +13,099 $13,165
     FIBK425,231+13,099$13,165
HOMESTREET INC. 533,449 +41,850 $13,128
     HMST533,449+41,850$13,128
BRINK S COMPANY 286,969 +65,579 $13,060
     BCO286,969+65,579$13,060
AIR TRANSPORT SERVICES GROUP INC. 581,776 +91,584 $12,956
     ATSG581,776+91,584$12,956
LIFETIME BRANDS INC. 1,918,058 +136,163 $12,889
     LCUT1,918,058+136,163$12,889
NATIONAL HEALTH INVESTORS INC. 212,065 +14,645 $12,877
     NHI212,065+14,645$12,877
PINNACLE FINANCIAL PARTNERS INC. 306,246 +49,486 $12,859
     PNFP306,246+49,486$12,859

See Full List: All Stocks Held By Kennedy Capital Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Kennedy Capital Management Inc.

Size ($ in 1000's)
At 06/30/2020: $3,456,284
At 03/31/2020: $2,719,485

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

Kennedy Capital Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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