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

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
COGENT COMMUNICATIONS HOLDIN 121,005 +121,005 $9,919
     CCOI121,005+121,005$9,919
INOGEN INC 179,895 +179,895 $9,293
     INGN179,895+179,895$9,293
MEDPACE HOLDINGS INC 125,618 +125,618 $9,218
     MEDP125,618+125,618$9,218
K12 INC 462,211 +462,211 $8,717
     LRN462,211+462,211$8,717
AMN HEALTHCARE SERVICES INC 143,251 +143,251 $8,281
     AMN143,251+143,251$8,281
KULICKE & SOFFA INDUSTRIES 355,768 +355,768 $7,425
     KLIC355,768+355,768$7,425
CORCEPT THERAPEUTICS INC 623,915 +623,915 $7,418
     CORT623,915+623,915$7,418
USANA HEALTH SCIENCES INC 127,064 +127,064 $7,339
     USNA127,064+127,064$7,339
ALARM.COM HOLDINGS INC 184,028 +184,028 $7,161
     ALRM184,028+184,028$7,161
RENEWABLE ENERGY GROUP INC 341,327 +341,327 $7,007
     REGI341,327+341,327$7,007
SUPERNUS PHARMACEUTICALS INC 387,985 +387,985 $6,980
     SUPN387,985+387,985$6,980
EVERTEC INC 304,984 +304,984 $6,932
     EVTC304,984+304,984$6,932
PATRICK INDUSTRIES INC 239,518 +239,518 $6,745
     PATK239,518+239,518$6,745
INNOVIVA INC 565,655 +565,655 $6,652
     INVA565,655+565,655$6,652
PROVIDENCE SERVICE CORP 119,259 +119,259 $6,545
     PRSC119,259+119,259$6,545
COCA COLA BOTTLING CO CONSOL 30,053 +30,053 $6,267
     COKE30,053+30,053$6,267
AMKOR TECHNOLOGY INC 800,754 +800,754 $6,238
     AMKR800,754+800,754$6,238
ATKORE INTERNATIONAL GROUP I 294,742 +294,742 $6,210
     ATKR294,742+294,742$6,210
STEVEN MADDEN LTD 265,630 +265,630 $6,171
     SHOO265,630+265,630$6,171
PIEDMONT OFFICE REALTY TRU A REIT 0.0 345,073 +345,073 $6,094
     PDM345,073+345,073$6,094
BENCHMARK ELECTRONICS INC 300,518 +300,518 $6,007
     BHE300,518+300,518$6,007
MAGELLAN HEALTH INC 124,500 +124,500 $5,990
     MGLN124,500+124,500$5,990
ENCORE WIRE CORP 141,685 +141,685 $5,949
     WIRE141,685+141,685$5,949
EMERGENT BIOSOLUTIONS INC 98,970 +98,970 $5,726
     EBS98,970+98,970$5,726
WADDELL & REED FINANCIAL A 502,058 +502,058 $5,713
     WDR502,058+502,058$5,713
INTEL CORP 101,858 +101,858 $5,513
     INTC101,858+101,858$5,513
RLJ LODGING TRUST REIT 0.0 700,674 +700,674 $5,409
     RLJ700,674+700,674$5,409
CARDTRONICS INC 257,890 +257,890 $5,395
     CATM257,890+257,890$5,395
MUELLER INDUSTRIES INC 224,089 +224,089 $5,365
     MLI224,089+224,089$5,365
MASTERCARD INC CLASS A 21,937 +21,937 $5,299
     MA21,937+21,937$5,299
MERCURY GENERAL CORP 128,117 +128,117 $5,217
     MCY128,117+128,117$5,217
PERSPECTA INC 285,079 +285,079 $5,200
     PRSP285,079+285,079$5,200
MICROSOFT CORP 32,920 +32,920 $5,192
     MSFT32,920+32,920$5,192
WALMART INC 45,631 +45,631 $5,185
     WMT45,631+45,631$5,185
PREFERRED BANK LOS ANGELES 152,554 +152,554 $5,159
     PFBC152,554+152,554$5,159
J2 GLOBAL INC 68,704 +68,704 $5,142
     JCOM68,704+68,704$5,142
MASTEC INC 156,225 +156,225 $5,113
     MTZ156,225+156,225$5,113
MCGRATH RENTCORP 97,173 +97,173 $5,090
     MGRC97,173+97,173$5,090
CENTRAL GARDEN AND PET CO A 198,300 +198,300 $5,071
     CENTA198,300+198,300$5,071
ADOBE INC 15,873 +15,873 $5,051
     ADBE15,873+15,873$5,051
ELI LILLY & CO 36,395 +36,395 $5,049
     LLY36,395+36,395$5,049
EVERCORE PARTNERS INC CL A 107,872 +107,872 $4,969
     EVR107,872+107,872$4,969
INSTALLED BUILDING PRODUCTS 122,131 +122,131 $4,869
     IBP122,131+122,131$4,869
NATIONAL FUEL GAS CO 129,812 +129,812 $4,841
     NFG129,812+129,812$4,841
CITRIX SYSTEMS INC 34,099 +34,099 $4,827
     CTXS34,099+34,099$4,827
BANK OF HAWAII CORP 86,096 +86,096 $4,756
     BOH86,096+86,096$4,756
COMCAST CORP CLASS A 137,047 +137,047 $4,712
     CMCSA137,047+137,047$4,712
MARCUS & MILLICHAP INC 173,676 +173,676 $4,707
     MMI173,676+173,676$4,707
STEPAN CO 53,102 +53,102 $4,697
     SCL53,102+53,102$4,697
VERISIGN INC 25,737 +25,737 $4,635
     VRSN25,737+25,737$4,635

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

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

Size ($ in 1000's)
At 03/31/2020: $644,244
At 12/31/2019: $0

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

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

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