HoldingsChannel.com
Paradigm Capital Management Inc. NY Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
R1 RCM Inc 4,565,000 -87,500 $41,495
     RCM4,565,000-87,500$41,495
Fabrinet 694,800 UNCH $37,908
     FN694,800UNCH$37,908
Globus Medical Inc Cl A new 706,100 -233,300 $30,030
     GMED706,100-233,300$30,030
II VI Inc. 964,399 UNCH $27,485
     IIVI964,399UNCH$27,485
Insight Enterprises 637,600 +101,700 $26,862
     NSIT637,600+101,700$26,862
EnerSys 459,800 -1,100 $22,769
     ENS459,800-1,100$22,769
Skyworks Solutions Inc. 253,725 -38,500 $22,678
     SWKS253,725-38,500$22,678
Onto Innovation Inc. 762,764 +51,448 $22,631
     NANO762,764+51,448$22,631
Westrock Co 764,288 -4,256 $21,599
     WRK764,288-4,256$21,599
Entegris Inc 472,800 -190,800 $21,168
     ENTG472,800-190,800$21,168
Extreme Networks 6,813,300 +19,600 $21,053
     EXTR6,813,300+19,600$21,053
Omnicell Inc 316,700 -88,400 $20,769
     OMCL316,700-88,400$20,769
Broadcom Ltd 82,100 -37,400 $19,466
     AVGO82,100-37,400$19,466
Ribbon Communications Inc 6,110,500 +6,335 $18,515
     RBBN6,110,500+6,335$18,515
Jabil Inc 724,300 +3,100 $17,804
     JBL724,300+3,100$17,804
Ciena Corp 399,300 +83,294 $15,896
     CIEN399,300+83,294$15,896
Ducommun Inc 622,015 +27,000 $15,457
     DCO622,015+27,000$15,457
Calix Inc 2,015,172 -102,100 $14,267
     CALX2,015,172-102,100$14,267
Lumentum Holdings Inc. 186,010 -33,600 $13,709
     LITE186,010-33,600$13,709
Neophotonics Corporation 1,883,400 +401,700 $13,654
     NPTN1,883,400+401,700$13,654
Summit Materials Inc. Class a 822,050 +135,900 $12,331
     SUM822,050+135,900$12,331
Ultra Clean Holdings Inc 887,500 -1,000 $12,247
     UCTT887,500-1,000$12,247
Kratos Defense & Security Solu 853,000 -354,800 $11,805
     KTOS853,000-354,800$11,805
American Woodmark Corporation 243,700 -2,000 $11,106
     AMWD243,700-2,000$11,106
Allscripts Healthcare Solution 1,551,700 +126,300 $10,924
     MDRX1,551,700+126,300$10,924
RTI Surgical Holdings Inc 6,137,270 +113,000 $10,495
     RTIX6,137,270+113,000$10,495
Nextgen Healthcare Inc. 961,300 +109,300 $10,036
     NXGN961,300+109,300$10,036
Johnson & Johnson 73,700 UNCH $9,664
     JNJ73,700UNCH$9,664
Ichor Holdings 492,500 UNCH $9,436
     ICHR492,500UNCH$9,436
Nature&apos s Sunshine Products In 1,150,087 +114,248 $9,350
     NATR1,150,087+114,248$9,350
Forterra 1,559,900 -136,600 $9,328
     FRTA1,559,900-136,600$9,328
TTM Technologies Inc. 842,900 -813,000 $8,716
     TTMI842,900-813,000$8,716
PepsiCo Inc 71,700 UNCH $8,611
     PEP71,700UNCH$8,611
Tillys Inc 2,010,000 +498,750 $8,301
     TLYS2,010,000+498,750$8,301
Mitek Systems 1,015,420 -30,000 $8,002
     MITK1,015,420-30,000$8,002
Cerus Corp 1,718,700 +604,400 $7,991
     CERS1,718,700+604,400$7,991
Caleres Inc 1,522,150 +40,000 $7,915
     CAL1,522,150+40,000$7,915
SYNNEX Corporation 105,803 -5,500 $7,734
     SNX105,803-5,500$7,734
Infinera Corp 1,437,743 +27,900 $7,620
     INFN1,437,743+27,900$7,620
KEMET Corporation 314,400 -20,000 $7,596
     KEM314,400-20,000$7,596
Masimo Corp 40,753 -10,437 $7,218
     MASI40,753-10,437$7,218
Cerence Inc. 466,524 +466,524 $7,184
     CRNC466,524+466,524$7,184
Vocera Communications Inc 315,000 -382,400 $6,690
     VCRA315,000-382,400$6,690
Colgate Palmolive 85,800 UNCH $5,694
     CL85,800UNCH$5,694
IAC Interactive Corp 31,550 -6,375 $5,655
     IAC31,550-6,375$5,655
PerkinElmer Inc. 71,850 -7,200 $5,409
     PKI71,850-7,200$5,409
Teradyne Inc 99,675 -20,775 $5,400
     TER99,675-20,775$5,400
Marvell Technology Group Ltd 212,913 +20,700 $4,818
     MRVL212,913+20,700$4,818
J2 Global Inc 62,200 -4,500 $4,656
     JCOM62,200-4,500$4,656
Kulicke & Soffa Industries Inc 221,650 +15,400 $4,625
     KLIC221,650+15,400$4,625

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

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

Size ($ in 1000's)
At 03/31/2020: $827,882
At 12/31/2019: $1,296,735

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

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

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