HoldingsChannel.com
Skyline Asset Management LP Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
Essent Group Ltd. 237,350 +6,800 $8,609
     ESNT237,350+6,800$8,609
Aaron s Inc. 189,200 -27,100 $8,590
     AAN189,200-27,100$8,590
First Busey Corporation 432,320 +1,700 $8,063
     BUSE432,320+1,700$8,063
Focus Financial Partners Inc. 242,700 +5,600 $8,021
     FOCS242,700+5,600$8,021
BMC Stock Holdings Inc. 318,120 -81,700 $7,998
     BMCH318,120-81,700$7,998
Kemper Corporation 108,230 +1,800 $7,849
     KMPR108,230+1,800$7,849
Virtusa Corporation 241,100 +30,700 $7,829
     VRTU241,100+30,700$7,829
Hillenbrand Inc. 287,700 -49,200 $7,788
     HI287,700-49,200$7,788
Knowles Corporation 506,400 -30,500 $7,728
     KN506,400-30,500$7,728
BancorpSouth Bank 333,100 +23,800 $7,575
     BXS333,100+23,800$7,575
TTM Technologies Inc. 635,500 +10,800 $7,537
     TTMI635,500+10,800$7,537
The Shyft Group Inc. 445,374 +445,374 $7,500
     SHYF445,374+445,374$7,500
SPX Corporation 180,900 -16,500 $7,444
     SPXC180,900-16,500$7,444
Gibraltar Industries Inc. 154,100 -40,100 $7,398
     ROCK154,100-40,100$7,398
WSFS Financial Corporation 257,200 +8,600 $7,382
     WSFS257,200+8,600$7,382
Silicon Motion Technology Corp 151,200 -50,700 $7,374
     SIMO151,200-50,700$7,374
Sanmina Corporation 293,010 -35,700 $7,337
     SANM293,010-35,700$7,337
Brunswick Corporation 114,400 -44,700 $7,323
     BC114,400-44,700$7,323
TriMas Corporation 303,700 -30,800 $7,274
     TRS303,700-30,800$7,274
Ferro Corporation 599,500 -171,000 $7,158
     FOE599,500-171,000$7,158
Perficient Inc. 193,300 +2,700 $6,916
     PRFT193,300+2,700$6,916
American Woodmark Corporation 91,400 +4,100 $6,914
     AMWD91,400+4,100$6,914
Minerals Technologies Inc. 146,500 -14,500 $6,875
     MTX146,500-14,500$6,875
National Bank Holdings Corpora 253,800 +5,900 $6,853
     NBHC253,800+5,900$6,853
Beacon Roofing Supply Inc. 250,300 +22,300 $6,600
     BECN250,300+22,300$6,600
Sterling Bancorp 553,025 +9,500 $6,481
     STL553,025+9,500$6,481
LCI Industries 55,775 -34,875 $6,413
     LCII55,775-34,875$6,413
First Midwest Bancorp Inc. 480,108 +25,500 $6,409
     FMBI480,108+25,500$6,409
Winnebago Industries Inc. 95,900 -103,900 $6,389
     WGO95,900-103,900$6,389
Columbus McKinnon Corporation 187,950 +3,900 $6,287
     CMCO187,950+3,900$6,287
Compass Minerals International 128,800 -21,700 $6,279
     CMP128,800-21,700$6,279
Dine Brands Global Inc. 148,600 +23,200 $6,256
     DIN148,600+23,200$6,256
ManpowerGroup Inc. 90,700 +11,500 $6,236
     MAN90,700+11,500$6,236
Rexnord Corporation 212,426 -67,500 $6,192
     RXN212,426-67,500$6,192
Benchmark Electronics Inc. 284,339 -51,100 $6,142
     BHE284,339-51,100$6,142
Neenah Inc. 124,100 +2,400 $6,138
     NP124,100+2,400$6,138
JELD WEN Holding Inc. 380,915 -70,600 $6,137
     JELD380,915-70,600$6,137
Welbilt Inc. 1,000,900 +533,600 $6,095
     WBT1,000,900+533,600$6,095
Knoll Inc. 497,800 +153,900 $6,068
     KNL497,800+153,900$6,068
Reinsurance Group Of America 75,947 +1,700 $5,957
     RGA75,947+1,700$5,957
Orion Engineered Carbons S.A. 554,500 +54,800 $5,872
     OEC554,500+54,800$5,872
Acadia Healthcare Company Inc 230,800 -16,100 $5,798
     ACHC230,800-16,100$5,798
UMB Financial Corporation 108,700 -16,900 $5,603
     UMBF108,700-16,900$5,603
The Children s Place Inc. 141,800 -9,100 $5,306
     PLCE141,800-9,100$5,306
WNS Holdings Limited 95,498 +25,100 $5,250
     WNS95,498+25,100$5,250
Hancock Whitney Corporation 247,200 +4,900 $5,241
     HWC247,200+4,900$5,241
TPI Composites Inc. 222,000 +23,300 $5,188
     TPIC222,000+23,300$5,188
Umpqua Holdings Corporation 484,678 +14,300 $5,157
     UMPQ484,678+14,300$5,157
NCR Corporation 273,300 +5,700 $4,734
     NCR273,300+5,700$4,734
EnPro Industries Inc. 91,800 +2,200 $4,525
     NPO91,800+2,200$4,525

See Full List: All Stocks Held By Skyline Asset Management LP
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Skyline Asset Management LP

Size ($ in 1000's)
At 06/30/2020: $355,097
At 03/31/2020: $300,781

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

Skyline Asset Management LP Top Holdings 13F Filings | www.HoldingsChannel.com

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