HoldingsChannel.com
All Stocks Held By Fuller & Thaler Asset Management Inc.
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
Investors Bancorp Inc 21,712,847 -975,082 $258,709
     ISBC21,712,847-975,082$258,709
First Horizon National Corp 13,658,249 +1,049,162 $226,181
     FHN13,658,249+1,049,162$226,181
Graphic Packaging Holding Co 13,319,200 +169,473 $221,765
     GPK13,319,200+169,473$221,765
FNB Corp 13,567,995 +803,697 $172,314
     FNB13,567,995+803,697$172,314
TCF Financial Corp 3,503,276 +299,941 $163,953
     TCF3,503,276+299,941$163,953
WPX Energy Inc 11,775,732 +968,914 $161,799
     WPX11,775,732+968,914$161,799
Crown Cork & Seal Co 2,068,842 +116,884 $150,074
     CCK2,068,842+116,884$150,074
CNO Financial Group Inc 6,910,862 -1,715,366 $125,294
     CNO6,910,862-1,715,366$125,294
First Midwest Bancorp Inc 5,328,164 +437,931 $122,867
     FMBI5,328,164+437,931$122,867
El Paso Electric Co 1,729,720 +137,699 $117,431
     EE1,729,720+137,699$117,431
Brink s Co 1,290,915 +102,874 $117,060
     BCO1,290,915+102,874$117,060
Cabot Corp 2,390,290 -196,624 $113,587
     CBT2,390,290-196,624$113,587
Brixmor Property Group Inc 4,912,247 -244,538 $106,154
     BRX4,912,247-244,538$106,154
Hope Bancorp Inc 7,106,896 -389,868 $105,608
     HOPE7,106,896-389,868$105,608
Matson Inc 2,560,186 +201,144 $104,456
     MATX2,560,186+201,144$104,456
Helen of Troy Ltd 534,059 +9,368 $96,018
     HELE534,059+9,368$96,018
Portland General Electric 1,641,671 +989,185 $91,589
     POR1,641,671+989,185$91,589
Gentherm Inc 2,035,100 +143,114 $90,338
     THRM2,035,100+143,114$90,338
Rayonier Inc 2,719,136 +224,981 $89,079
     RYN2,719,136+224,981$89,079
Applied Industrial Tech Inc 1,335,530 +68,912 $89,066
     AIT1,335,530+68,912$89,066
Granite Construction Co 3,205,574 +217,331 $88,698
     GVA3,205,574+217,331$88,698
National General Holdings CP 3,995,501 +252,439 $88,301
     NGHC3,995,501+252,439$88,301
Jeld wen Holding Inc 3,664,216 -647,707 $85,779
     JELD3,664,216-647,707$85,779
Energizer Holdings Inc 1,700,247 -1,900,873 $85,386
     ENR1,700,247-1,900,873$85,386
Jabil Inc 2,003,779 -165,137 $82,816
     JBL2,003,779-165,137$82,816
Keycorp 4,074,364 -7,406,141 $82,465
     KEY4,074,364-7,406,141$82,465
Sykes Enterprises Inc 2,193,455 +177,828 $81,136
     SYKE2,193,455+177,828$81,136
Columbia Sportswear Co 790,594 +306,469 $79,210
     COLM790,594+306,469$79,210
Designer Brands Inc 4,980,347 +7,270 $78,391
     DBI4,980,347+7,270$78,391
Hancock Whitney Corp 1,752,889 -15,225 $76,917
     HWC1,752,889-15,225$76,917
Allscripts Healthcare Soltns 7,817,746 -858,003 $76,731
     MDRX7,817,746-858,003$76,731
White Mtns Ins Group Ltd 67,529 +4,895 $75,329
     WTM67,529+4,895$75,329
Prestige Consumer Healthcare Inc 1,851,645 -3,254 $74,992
     PBH1,851,645-3,254$74,992
Covanta Holding Corp 4,742,388 +373,515 $70,377
     CVA4,742,388+373,515$70,377
Patterson UTI Energy 6,515,393 +497,969 $68,412
     PTEN6,515,393+497,969$68,412
Brookline Bancorp Inc 4,107,431 +175,358 $67,608
     BRKL4,107,431+175,358$67,608
FTI Consulting Inc 601,947 +10,165 $66,611
     FCN601,947+10,165$66,611
United Bankshares Inc wv (UBSI) 1,715,209 -78,406 $66,310
     UBSI1,715,209-78,406$66,310
Franklin Street Properties C 7,564,056 +329,513 $64,748
     FSP7,564,056+329,513$64,748
Mastec Inc 1,008,034 +418,647 $64,675
     MTZ1,008,034+418,647$64,675
Texas Capital BancShares Inc (TCBI) 1,117,963 +88,097 $63,467
     TCBI1,117,963+88,097$63,467
Kite Realty Group Trust 3,213,874 +238,536 $62,767
     KRG3,213,874+238,536$62,767
Eagle Materials Inc 691,224 +54,866 $62,666
     EXP691,224+54,866$62,666
Beacon Roofing Supply Inc 1,957,009 +142,492 $62,585
     BECN1,957,009+142,492$62,585
First Hawaiian Inc 2,165,877 +167,890 $62,486
     FHB2,165,877+167,890$62,486
Chatham Lodging Trust 3,375,630 +242,311 $61,909
     CLDT3,375,630+242,311$61,909
Verint Systems Inc 1,116,994 +93,022 $61,837
     VRNT1,116,994+93,022$61,837
Koppers Holdings Inc 1,609,255 -157,017 $61,506
     KOP1,609,255-157,017$61,506
Celanese Corp 499,470 -20,844 $61,495
     CE499,470-20,844$61,495
Terex Corp 2,060,014 -924,557 $61,347
     TEX2,060,014-924,557$61,347
Murphy USA Inc 523,049 -56,748 $61,197
     MUSA523,049-56,748$61,197
Dolby Laboratories Inc 879,202 +40,467 $60,489
     DLB879,202+40,467$60,489
Generac Holdings Inc 590,175 +15,554 $59,366
     GNRC590,175+15,554$59,366
NCR Corporation 1,666,669 +121,546 $58,600
     NCR1,666,669+121,546$58,600
Deckers Outdoor 341,830 +23,105 $57,721
     DECK341,830+23,105$57,721
Evertec Inc 1,691,617 +353,049 $57,583
     EVTC1,691,617+353,049$57,583
Kemper Corp 731,449 +160,794 $56,687
     KMPR731,449+160,794$56,687
Landstar Systems Inc 489,673 -166,227 $55,759
     LSTR489,673-166,227$55,759
Fulton Financial Corp 3,190,503 +153,053 $55,610
     FULT3,190,503+153,053$55,610
J2 Global Communications 580,527 +76,114 $54,401
     JCOM580,527+76,114$54,401
Wesco Int l Inc 912,438 -65,764 $54,190
     WCC912,438-65,764$54,190
Miller Herman 1,282,112 +63,259 $53,400
     MLHR1,282,112+63,259$53,400
Resideo Technologies 4,433,930 +319,674 $52,897
     REZI4,433,930+319,674$52,897
Assured Guaranty Ltd 991,081 +53,089 $48,583
     AGO991,081+53,089$48,583
MTS Systems Corp 1,007,739 -2,107 $48,402
     MTSC1,007,739-2,107$48,402
Medpace Holdings Inc 569,508 +19,699 $47,873
     MEDP569,508+19,699$47,873
Wiley John & Sons CL A      $46,686
     JW.A962,198+71,836$46,686
Greif Inc Cl A 1,048,294 -128,669 $46,335
     GEF1,048,294-128,669$46,335
Ryman Hospitality Properties Inc 522,701 +37,847 $45,297
     RHP522,701+37,847$45,297
Maximus Inc 590,437 +590,192 $43,923
     MMS590,437+590,192$43,923
CIT Group Inc 949,092 +86,120 $43,307
     CIT949,092+86,120$43,307
MRC Global Inc 3,148,928 -209,793 $42,951
     MRC3,148,928-209,793$42,951
CSG Systems Int l Inc 826,173 +16,974 $42,779
     CSGS826,173+16,974$42,779
Commscope Holding Co Inc 2,991,493 -2,846,594 $42,449
     COMM2,991,493-2,846,594$42,449
Cooper standard Holdings Inc 1,274,092 -75,428 $42,249
     CPS1,274,092-75,428$42,249
Avnet Inc 986,521 +83,381 $41,868
     AVT986,521+83,381$41,868
Kennametal Inc 1,133,478 -1,437,392 $41,814
     KMT1,133,478-1,437,392$41,814
Commercial Metals 1,868,299 -2,269,206 $41,607
     CMC1,868,299-2,269,206$41,607
Simmons First Natl CP CL A 1,541,681 +127,878 $41,302
     SFNC1,541,681+127,878$41,302
Primerica Inc 311,697 -26,084 $40,695
     PRI311,697-26,084$40,695
Horizon Therapeutics Plc 1,107,038 +44,348 $40,075
     HZNP1,107,038+44,348$40,075
Retail Pptys Of America Inc 2,973,689 +256,507 $39,847
     RPAI2,973,689+256,507$39,847
Comfort Systems Usa Inc 790,337 +8,898 $39,398
     FIX790,337+8,898$39,398
Colony Capital Inc 8,156,554 -3,948,549 $38,744
     CLNY8,156,554-3,948,549$38,744
Cott Corp 2,828,334 +2,798,583 $38,692
     COT2,828,334+2,798,583$38,692
Glatfelter P.H. Co 2,095,657 -283,465 $38,351
     GLT2,095,657-283,465$38,351
First Citizens Bancsh CL A 68,407 +410 $36,407
     FCNCA68,407+410$36,407
Amedisys Inc 217,221 -236 $36,259
     AMED217,221-236$36,259
Blucora Inc 1,387,105 +11,557 $36,259
     BCOR1,387,105+11,557$36,259
Hyster yale Materials Hndlng 613,719 +46,628 $36,185
     HY613,719+46,628$36,185
Flextronics Intl Ltd 2,830,114 +188,017 $35,716
     FLEX2,830,114+188,017$35,716
Continental Building Prods 968,344 +5,484 $35,277
     CBPX968,344+5,484$35,277
Enstar Group Ltd 170,021 +10,425 $35,171
     ESGR170,021+10,425$35,171
Tri Pointe Group Inc 2,222,665 +161,812 $34,629
     TPH2,222,665+161,812$34,629
Bruker Biosciences Corp 675,910 +13,845 $34,451
     BRKR675,910+13,845$34,451
Tech Data Corp 232,758 +103,076 $33,424
     TECD232,758+103,076$33,424
Janus Henderson Group plc 1,361,141 -830,835 $33,280
     JHG1,361,141-830,835$33,280
PBF Energy Inc 1,035,903 +82,135 $32,496
     PBF1,035,903+82,135$32,496
PotlatchDeltic Corp 745,624 +66,083 $32,263
     PCH745,624+66,083$32,263
Actuant Corp 1,198,811 +1,198,811 $31,205
     EPAC1,198,811+1,198,811$31,205
The Bancorp Inc 2,362,985 +148,281 $30,648
     TBBK2,362,985+148,281$30,648
Trinseo SA 795,445 -857,180 $29,599
     TSE795,445-857,180$29,599
Bmc Stock Holdings Inc 1,029,981 +540,839 $29,550
     BMCH1,029,981+540,839$29,550
Pebblebrook Hotel Trust 1,074,098 +372,238 $28,797
     PEB1,074,098+372,238$28,797
Waddell & Reed Financial 1,704,614 +78,864 $28,501
     WDR1,704,614+78,864$28,501
Bancorpsouth Inc 901,281 +163,860 $28,309
     BXS901,281+163,860$28,309
Tenneco Inc 2,136,964 -2,020,258 $27,994
     TEN2,136,964-2,020,258$27,994
Rent A Center Inc 939,299 +155,935 $27,089
     RCII939,299+155,935$27,089
Chemed Corp 61,640 +350 $27,076
     CHE61,640+350$27,076
Alexander & Baldwin Hldgs 1,288,913 -174,440 $27,016
     ALEX1,288,913-174,440$27,016
Ag Mortgage Investment Trust 1,722,821 +126,282 $26,566
     MITT1,722,821+126,282$26,566
Xenia Hotels & Resorts Inc 1,211,129 +5,098 $26,172
     XHR1,211,129+5,098$26,172
Range Resources Corp 5,239,578 +417,925 $25,412
     RRC5,239,578+417,925$25,412
Delek US Holdings Inc 757,009 +757,009 $25,383
     DK757,009+757,009$25,383
Outfront Media Inc 907,644 +4,485 $24,343
     OUT907,644+4,485$24,343
American Axle & MFG Holdings 2,247,852 -403,973 $24,187
     AXL2,247,852-403,973$24,187
Builders Firstsource 936,213 -156,525 $23,789
     BLDR936,213-156,525$23,789
Simply Good Foods Company 828,030 +516,306 $23,632
     SMPL828,030+516,306$23,632
ACI Worldwide Inc 622,735 +31,781 $23,592
     ACIW622,735+31,781$23,592
InSight Enterprises 330,110 +36,565 $23,203
     NSIT330,110+36,565$23,203
Integer Holdings Corp 283,181 +177,024 $22,776
     ITGR283,181+177,024$22,776
Sanmina Corp 631,218 +1,866 $21,613
     SANM631,218+1,866$21,613
Ruths Hospitality Group Inc 986,540 +19,365 $21,472
     RUTH986,540+19,365$21,472
Emcor Group Inc 247,261 +139,890 $21,339
     EME247,261+139,890$21,339
Adtran Inc 2,147,248 +79,351 $21,236
     ADTN2,147,248+79,351$21,236
Lakeland Financial Corp 412,733 -17,836 $20,195
     LKFN412,733-17,836$20,195
Sprouts Farmers Market 1,018,423 +50,700 $19,706
     SFM1,018,423+50,700$19,706
Quanta Svcs 472,466 -306,401 $19,234
     PWR472,466-306,401$19,234
Sinclair Broadcast Gp 575,542 -33,548 $19,189
     SBGI575,542-33,548$19,189
W&T Offshore 3,402,874 +311,327 $18,920
     WTI3,402,874+311,327$18,920
Harsco Corporation 786,281 +59,905 $18,092
     HSC786,281+59,905$18,092
Core Mark Holding Co Inc 661,135 +122,696 $17,976
     CORE661,135+122,696$17,976
Perspecta Inc 670,100 +209,075 $17,717
     PRSP670,100+209,075$17,717
Select Medical Holdings Corp 753,390 +124,101 $17,584
     SEM753,390+124,101$17,584
Deluxe Corporation 313,720 +2,609 $15,661
     DLX313,720+2,609$15,661
Progress Software Corp 375,444 -162,057 $15,600
     PRGS375,444-162,057$15,600
Tristate Capital Hldgs Inc 587,264 +2,291 $15,339
     TSC587,264+2,291$15,339
Tetra Technologies Inc 7,823,126 +442,913 $15,333
     TTI7,823,126+442,913$15,333
Bank of Hawaii Corp 160,005 +13,436 $15,226
     BOH160,005+13,436$15,226
Qurate REtail Group Inc QVC Grp 1,769,075 +1,769,075 $14,913
     QRTEA1,769,075+1,769,075$14,913
Cornerstone Building Brands Inc 1,746,301 +56,160 $14,861
     CNR1,746,301+56,160$14,861
Synnex Corp 113,067 +45,776 $14,563
     SNX113,067+45,776$14,563
Sarepta Therapeutics Inc 110,317 -1,739 $14,235
     SRPT110,317-1,739$14,235
James River Group Hldgs Ltd 330,511 +78,568 $13,620
     JRVR330,511+78,568$13,620
Roku Inc 97,785 -1,834 $13,093
     ROKU97,785-1,834$13,093
M acom Technology Solutions 481,536 -10,177 $12,809
     MTSI481,536-10,177$12,809
KLX Energy Services Hldng 1,985,016 +102,702 $12,784
     KLXE1,985,016+102,702$12,784
Trex Co Inc 142,068 -33,292 $12,769
     TREX142,068-33,292$12,769
Masonite International Corp 176,707 -19,109 $12,760
     DOOR176,707-19,109$12,760
Supernus Pharmaceuticals Inc 519,271 -312,976 $12,317
     SUPN519,271-312,976$12,317
Topbuild Corp 113,814 +113,814 $11,732
     BLD113,814+113,814$11,732
Cirrus Logic Inc 136,994 -2,981 $11,290
     CRUS136,994-2,981$11,290
Armstrong World Industries 120,107 +4,821 $11,286
     AWI120,107+4,821$11,286
Churchill Downs Inc 79,361 -1,764 $10,888
     CHDN79,361-1,764$10,888
Crocs Inc 257,205 -143,646 $10,774
     CROX257,205-143,646$10,774
Meritor Inc 408,193 -142,170 $10,691
     MTOR408,193-142,170$10,691
Trade Desk Inc 39,777 -881 $10,333
     TTD39,777-881$10,333
Comtech Telecommun 287,977 +222,934 $10,220
     CMTL287,977+222,934$10,220
Apple Hospitality Reit Inc 623,401 +6,842 $10,130
     APLE623,401+6,842$10,130
Synaptics Inc 144,887 +144,887 $9,529
     SYNA144,887+144,887$9,529
HealthEquity Inc 128,490 -2,778 $9,517
     HQY128,490-2,778$9,517
Ping Identity Holding Corp 390,279 +390,279 $9,484
     PING390,279+390,279$9,484
SP Plus Corp 212,148 -27,198 $9,001
     SP212,148-27,198$9,001
Louisiana Pacific Corp 301,502 -128,939 $8,946
     LPX301,502-128,939$8,946
Skywest Inc 137,363 -3,296 $8,878
     SKYW137,363-3,296$8,878
Five9 Inc 134,529 -2,361 $8,822
     FIVN134,529-2,361$8,822
Federal Agric MTG Corp CL C 103,789 -8,650 $8,666
     AGM103,789-8,650$8,666
Kforce.com Inc 217,090 +24,346 $8,618
     KFRC217,090+24,346$8,618
Corelogic Inc 196,820 -36,794 $8,603
     CLGX196,820-36,794$8,603
National Vision Hldgs Inc 265,003 +265,003 $8,594
     EYE265,003+265,003$8,594
Nevro Corp 73,064 +73,064 $8,588
     NVRO73,064+73,064$8,588
Corenergy Infrastructure TR 191,976 -66,213 $8,583
     CORR191,976-66,213$8,583
Hostess Brands Inc 583,473 -14,019 $8,484
     TWNK583,473-14,019$8,484
Lantheus Holdings Inc 410,825 -101,366 $8,426
     LNTH410,825-101,366$8,426
Integra Lifesciences Hldgs 144,497 +1,395 $8,421
     IART144,497+1,395$8,421
Repligen Corp 89,905 +89,905 $8,316
     RGEN89,905+89,905$8,316
Rush Enterprises Inc 177,049 +1,211 $8,233
     RUSHA177,049+1,211$8,233
Indstrl Lgst Prpt Trst 366,970 +3,741 $8,227
     ILPT366,970+3,741$8,227
Steven Madden Ltd 188,976 +188,976 $8,128
     SHOO188,976+188,976$8,128
Lattice Semiconductor Corp 422,365 -9,868 $8,084
     LSCC422,365-9,868$8,084
Onemain Holdings Inc 190,427 -4,199 $8,026
     OMF190,427-4,199$8,026
Ishares Russell 2000 Value (IWN) 62,338 +51,646 $8,015
     IWN62,338+51,646$8,015
Costamare Inc 836,471 +9,549 $7,972
     CMRE836,471+9,549$7,972
Ambarella Inc 131,126 -3,509 $7,941
     AMBA131,126-3,509$7,941
Skyline Champion Corp 244,753 -147,617 $7,759
     SKY244,753-147,617$7,759
Worthington Industries 181,917 +52,533 $7,673
     WOR181,917+52,533$7,673
Allegiant Travel Co 43,847 +43,742 $7,631
     ALGT43,847+43,742$7,631
Hamilton Lane Inc 127,615 -22,488 $7,606
     HLNE127,615-22,488$7,606
Guardant Health Inc 96,991 -1,558 $7,579
     GH96,991-1,558$7,579
Zynga Inc 1,237,992 -29,413 $7,577
     ZNGA1,237,992-29,413$7,577
Air Transport Services Group 322,919 -7,442 $7,576
     ATSG322,919-7,442$7,576
Ehealth Inc 78,606 -775 $7,552
     EHTH78,606-775$7,552
Tandem Diabetes Care Inc 126,423 -3,501 $7,536
     TNDM126,423-3,501$7,536
Meritage Homes Corp 123,245 -2,866 $7,532
     MTH123,245-2,866$7,532
Box Inc 442,041 -9,288 $7,417
     BOX442,041-9,288$7,417
Denny s Corp 372,282 +372,282 $7,401
     DENN372,282+372,282$7,401
Boston Beer Co 19,324 +19,324 $7,302
     SAM19,324+19,324$7,302
Tempur Pedic Int l 82,535 +82,535 $7,185
     TPX82,535+82,535$7,185
Invesco Mortgage Capital Inc 413,082 +4,300 $6,878
     IVR413,082+4,300$6,878
Johnson Outdoors Inc CL A 89,628 +29,448 $6,874
     JOUT89,628+29,448$6,874
Washington Federal Inc 183,542 -195,173 $6,727
     WAFD183,542-195,173$6,727
Mimecast Ltd 153,143 -2,746 $6,643
     MIME153,143-2,746$6,643
Scientific Games Corp 237,986 +237,986 $6,373
     SGMS237,986+237,986$6,373
Enova International Inc 254,795 -6,349 $6,130
     ENVA254,795-6,349$6,130
Apple Inc 20,473 +3,005 $6,012
     AAPL20,473+3,005$6,012
Marcus & Millichap Inc 160,665 +1,902 $5,985
     MMI160,665+1,902$5,985
Grocery Outlet Hldng Corp 180,024 -3,746 $5,842
     GO180,024-3,746$5,842
PRA Health Sciences Inc 52,108 +21,579 $5,792
     PRAH52,108+21,579$5,792
Cintas Corp 21,198 +2,272 $5,704
     CTAS21,198+2,272$5,704
Union Pacific Corp 31,456 +4,998 $5,687
     UNP31,456+4,998$5,687
Verso Corp 311,277 +1,050 $5,612
     VRS311,277+1,050$5,612
Parker Hannifin Corp 26,769 +2,816 $5,510
     PH26,769+2,816$5,510
Cargurus Inc 154,817 -3,734 $5,446
     CARG154,817-3,734$5,446
Townebank 194,872 +2,474 $5,421
     TOWN194,872+2,474$5,421
Boot Barn Holdings Inc 120,905 +325 $5,384
     BOOT120,905+325$5,384
Sleep Number Corp 106,679 +23,130 $5,253
     SNBR106,679+23,130$5,253
Raven Industries Inc 151,465 -48,688 $5,219
     RAVN151,465-48,688$5,219
Ebay Inc 136,853 +16,443 $4,942
     EBAY136,853+16,443$4,942
Financial Institutions Inc 150,942 +2,205 $4,845
     FISI150,942+2,205$4,845
Ecolab Inc 24,809 +4,314 $4,788
     ECL24,809+4,314$4,788
Booking Holdings Inc 2,267 +374 $4,656
     BKNG2,267+374$4,656
Microsoft Corp 29,402 +4,610 $4,637
     MSFT29,402+4,610$4,637
Rubicon Project Inc 564,785 +1,475 $4,609
     RUBI564,785+1,475$4,609
Everi Holdings Inc 338,806 -99,050 $4,550
     EVRI338,806-99,050$4,550
O Reilly Automotive 10,169 +1,901 $4,457
     ORLY10,169+1,901$4,457
Synchrony Financial 122,015 +15,836 $4,394
     SYF122,015+15,836$4,394
Cardlytics Inc 68,960 -9,160 $4,335
     CDLX68,960-9,160$4,335
Gold Resource Corp 779,069 +8,223 $4,316
     GORO779,069+8,223$4,316
Verisign Inc 21,548 +1,066 $4,152
     VRSN21,548+1,066$4,152
Southwest Airlines Co 76,758 +9,428 $4,143
     LUV76,758+9,428$4,143
Zebra Technologies Corp 15,413 +7,837 $3,937
     ZBRA15,413+7,837$3,937
Ross Stores Inc 32,252 +6,656 $3,755
     ROST32,252+6,656$3,755
Gaming & Leisure Pptys 86,727 -11,726 $3,734
     GLPI86,727-11,726$3,734
Walmart Inc 31,362 +5,215 $3,727
     WMT31,362+5,215$3,727
NewMarket Corp 7,651 -558 $3,722
     NEU7,651-558$3,722
Lilly Eli & Co 28,000 +28,000 $3,680
     LLY28,000+28,000$3,680
Stage Stores Inc 450,758 +450,758 $3,660
     SSI450,758+450,758$3,660
Armada Hoffler Properties 198,343 -189,915 $3,640
     AHH198,343-189,915$3,640
Yum China Hldng Inc 75,153 -4,461 $3,608
     YUMC75,153-4,461$3,608
Biogen Inc 12,154 +2,105 $3,606
     BIIB12,154+2,105$3,606
PDL Biopharma Inc 1,109,145 +3,175 $3,599
     PDLI1,109,145+3,175$3,599
Paychex Inc 41,906 +7,415 $3,565
     PAYX41,906+7,415$3,565
Investors Real Estate Trust 46,369 +150 $3,362
     IRET46,369+150$3,362
Carriage Services Inc Cl A 129,415 +425 $3,313
     CSV129,415+425$3,313
B. Riley FBR Inc 131,149 +450 $3,302
     RILY131,149+450$3,302
Amazon Com Inc 1,781 +351 $3,291
     AMZN1,781+351$3,291
Liberty Media Siriusxm Group 68,277 -6,466 $3,287
     LSXMK68,277-6,466$3,287
Advanced Drainage Systems 84,633 -305,577 $3,287
     WMS84,633-305,577$3,287
Cabot Microelectronics Corp 22,559 +269 $3,256
     CCMP22,559+269$3,256
Vishay Precision Group 95,049 +1,114 $3,232
     VPG95,049+1,114$3,232
Office Properties Income Tr 100,533 +34,605 $3,231
     OPI100,533+34,605$3,231
Boston Scient Corp 71,250 +13,530 $3,222
     BSX71,250+13,530$3,222
Waters Corp 13,592 -1,667 $3,176
     WAT13,592-1,667$3,176
Diebold Inc 292,705 +975 $3,091
     DBD292,705+975$3,091
Unitil Corp 49,989 +587 $3,090
     UTL49,989+587$3,090
CRA International Inc 56,210 +682 $3,062
     CRAI56,210+682$3,062
Exantas Capital Corp 253,075 +825 $2,989
     XAN253,075+825$2,989
Cross Country Healthcare Inc 254,015 +825 $2,952
     CCRN254,015+825$2,952
City Office REIT Inc 213,464 +84,287 $2,886
     CIO213,464+84,287$2,886
E.l.f. Beauty Inc 176,988 +500 $2,855
     ELF176,988+500$2,855
Allison Transmission Hldgs 58,662 -6,483 $2,835
     ALSN58,662-6,483$2,835
Berkshire Hathaway Inc Cl B      $2,796
     BRK.B12,344+2,405$2,796
Golden Entertainment Inc 144,132 +305 $2,770
     GDEN144,132+305$2,770
Natural Grocers Vitamin CTGE 274,895 +900 $2,713
     NGVC274,895+900$2,713
Activision Inc 45,069 +9,930 $2,678
     ATVI45,069+9,930$2,678
Intrepid Potash Inc 982,890 +3,225 $2,664
     IPI982,890+3,225$2,664
Catchmark Timber Trust 229,950 +750 $2,638
     CTT229,950+750$2,638
CAI International Inc 90,870 +300 $2,633
     CAI90,870+300$2,633
Limelight Networks Inc 641,570 +2,100 $2,618
     LLNW641,570+2,100$2,618
Techtarget Inc 99,715 +260 $2,603
     TTGT99,715+260$2,603
Nordic American Tankers Ltd 527,535 +527,535 $2,595
     NAT527,535+527,535$2,595
Idexx Labs Inc 9,747 -5 $2,545
     IDXX9,747-5$2,545
Comscore Inc 512,525 +512,525 $2,532
     SCOR512,525+512,525$2,532
Freshpet Inc 42,630 -5,030 $2,519
     FRPT42,630-5,030$2,519
Antares Pharma Inc 532,405 +1,700 $2,502
     ATRS532,405+1,700$2,502
Wideopenwest Inc 333,100 +63,550 $2,472
     WOW333,100+63,550$2,472
Unifi Inc 96,200 +300 $2,430
     UFI96,200+300$2,430
Walgreens Boots Alliance Inc 41,042 +8,520 $2,420
     WBA41,042+8,520$2,420
Axogen Inc 133,775 +375 $2,393
     AXGN133,775+375$2,393
Leidos Holdings Inc 24,412 -6,590 $2,390
     LDOS24,412-6,590$2,390
Playags Inc 195,950 +550 $2,377
     AGS195,950+550$2,377
Xerox Holdings Corp 61,684 -16,485 $2,274
     XRX61,684-16,485$2,274
Everquote Inc 65,270 +65,270 $2,242
     EVER65,270+65,270$2,242
Oracle Systems 40,740 +40,740 $2,158
     ORCL40,740+40,740$2,158
Alphabet Inc Class C 1,606 +351 $2,147
     GOOG1,606+351$2,147
Arlo Technologies Inc 507,750 +1,625 $2,138
     ARLO507,750+1,625$2,138
Sientra Inc 233,900 +233,900 $2,091
     SIEN233,900+233,900$2,091
T Mobile US Inc 26,495 +6,015 $2,078
     TMUS26,495+6,015$2,078
Cutera Inc 57,615 +57,615 $2,063
     CUTR57,615+57,615$2,063
Landec Corp 181,070 +500 $2,048
     LNDC181,070+500$2,048
Spartan Motors Inc 112,280 +112,280 $2,030
     SPAR112,280+112,280$2,030
Facebook Inc 9,833 +2,505 $2,018
     FB9,833+2,505$2,018
Keysight Technologiecs 19,508 -5,420 $2,002
     KEYS19,508-5,420$2,002
Potbelly Corp 472,360 +1,300 $1,993
     PBPB472,360+1,300$1,993
Invacare Corp 219,632 +700 $1,981
     IVC219,632+700$1,981
Hc2 Holdings Inc 887,350 +2,950 $1,926
     HCHC887,350+2,950$1,926
Barnes & Noble Education Inc 447,978 +447,978 $1,913
     BNED447,978+447,978$1,913
Applied Materials 30,891 +8,025 $1,886
     AMAT30,891+8,025$1,886
Lindblad Expeditions Hldgs 115,378 +325 $1,886
     LIND115,378+325$1,886
Kansas City Southern 12,150 -2,725 $1,861
     KSU12,150-2,725$1,861
Express Inc 380,988 +380,988 $1,855
     EXPR380,988+380,988$1,855
Drive Shack Inc 490,885 +1,600 $1,797
     DS490,885+1,600$1,797
Rmr Group Inc 38,531 +506 $1,759
     RMR38,531+506$1,759
Aspen Technology Inc 14,472 -4,495 $1,750
     AZPN14,472-4,495$1,750
Titan International Inc 471,365 +1,250 $1,706
     TWI471,365+1,250$1,706
Mohawk Industry 12,485 -2,995 $1,703
     MHK12,485-2,995$1,703
Clean Energy Fuels Corp 710,283 +2,325 $1,662
     CLNE710,283+2,325$1,662
LSB Industries Inc 385,039 -100 $1,617
     LXU385,039-100$1,617
Immersion Corp 215,585 +700 $1,602
     IMMR215,585+700$1,602
Del Taco Restaurants Inc 200,975 +200,975 $1,589
     TACO200,975+200,975$1,589
Entravision Communications 601,255 +1,225 $1,575
     EVC601,255+1,225$1,575
Hillenbrand Inc 46,358 +45,993 $1,544
     HI46,358+45,993$1,544
Corbus Pharmaceuticals Hldgs 269,930 +900 $1,474
     CRBP269,930+900$1,474
Farmers Natl Banc Corp oh 89,839 +1,528 $1,466
     FMNB89,839+1,528$1,466
Capital Senior Living Corp 466,887 +1,400 $1,443
     CSU466,887+1,400$1,443
Flotek Industries Inc 704,768 +2,200 $1,410
     FTK704,768+2,200$1,410
Limoneira Co 72,695 +225 $1,398
     LMNR72,695+225$1,398
Liberty Latin America Ltd 71,178 +6,125 $1,385
     LILAK71,178+6,125$1,385
Clorox CO DE 8,961 -3,015 $1,376
     CLX8,961-3,015$1,376
Tiffany & Co 10,095 -14,424 $1,349
     TIF10,095-14,424$1,349
Sciplay Corp 108,990 +41,805 $1,339
     SCPL108,990+41,805$1,339
Brown & Brown Inc 32,606 -11,150 $1,287
     BRO32,606-11,150$1,287
Burlington Stores Inc 5,330 -2,005 $1,215
     BURL5,330-2,005$1,215
Exelixis Inc 68,130 -25,485 $1,200
     EXEL68,130-25,485$1,200
Acacia Research Corp 439,101 +1,400 $1,168
     ACTG439,101+1,400$1,168
Tuesday Morning Corp 624,980 +2,000 $1,156
     TUES624,980+2,000$1,156
Voya Financial Inc 18,884 -6,965 $1,152
     VOYA18,884-6,965$1,152
IShares Russell 2000 ETF (IWM) 6,833 +6,236 $1,132
     IWM6,833+6,236$1,132
Red Robin Gourmet 32,845 +32,845 $1,085
     RRGB32,845+32,845$1,085
Nn Inc 116,149 +116,149 $1,074
     NNBR116,149+116,149$1,074
Carter s Inc 9,733 -3,590 $1,064
     CRI9,733-3,590$1,064
Viasat Inc 14,249 -5,625 $1,043
     VSAT14,249-5,625$1,043
Smith Micro Software Inc 261,500 +700 $1,041
     SMSI261,500+700$1,041
Gain Capital Holdings Inc 252,069 -82,651 $996
     GCAP252,069-82,651$996
PVH Corp 8,834 -3,800 $929
     PVH8,834-3,800$929
Live Oak Bancshares Inc (LOB) 46,587 +19,925 $886
     LOB46,587+19,925$886
Entegris Inc 17,665 -7,260 $885
     ENTG17,665-7,260$885
Steel Dynamics 23,158 -10,695 $788
     STLD23,158-10,695$788
Altra Holdings Inc 17,663 +1,405 $640
     AIMC17,663+1,405$640
Power Integrations Inc 6,413 +30 $634
     POWI6,413+30$634
Pacific Ethanol Inc 959,539 +3,050 $624
     PEIX959,539+3,050$624
Dentsply Sirona Inc 10,983 -5,565 $622
     XRAY10,983-5,565$622
Oshkosh Truck Corp 6,265 -3,380 $593
     OSK6,265-3,380$593
Arconic Inc 17,550 +1,800 $540
     ARNC17,550+1,800$540
Hd Supply Holdings Inc 13,348 -5,975 $537
     HDS13,348-5,975$537
RealNetworks Inc 429,127 +1,400 $515
     RNWK429,127+1,400$515
Carmax Inc 5,210 +550 $457
     KMX5,210+550$457
Dollar General Corp 2,925 +300 $456
     DG2,925+300$456
Berry Global Group Inc 9,350 +950 $444
     BERY9,350+950$444
Public Storage 2,050 +1,050 $437
     PSA2,050+1,050$437
Global Eagle Entertainment 856,740 +2,725 $428
     ENT856,740+2,725$428
M&T Bank Corp 2,360 +250 $401
     MTB2,360+250$401
Westrock Co 9,350 +950 $401
     WRK9,350+950$401
Aramark 9,165 +950 $398
     ARMK9,165+950$398
Everest Reinsurance Hldgs 1,315 +130 $364
     RE1,315+130$364
Pacwest Bancorp 9,204 -6,765 $352
     PACW9,204-6,765$352
Newell Rubbermaid Inc 17,881 +1,850 $344
     NWL17,881+1,850$344
Continental Resources Inc 9,900 +1,000 $340
     CLR9,900+1,000$340
IShares Russell 2000 Grwth ETF (IWO) 1,572 -1,186 $337
     IWO1,572-1,186$337
Amdocs Ltd 4,550 +450 $328
     DOX4,550+450$328
Dollar Tree Stores Inc 3,440 +350 $324
     DLTR3,440+350$324
Commerce Bancshares Inc (CBSH) 4,744 +702 $322
     CBSH4,744+702$322
Johnson Controls Inc 7,800 +800 $318
     JCI7,800+800$318
Republic Services Inc 3,500 +350 $314
     RSG3,500+350$314
Whirlpool Corp 2,080 +200 $307
     WHR2,080+200$307
WP Carey & Co Llc 3,800 +3,800 $304
     WPC3,800+3,800$304
Western Alliance Bancorp 5,322 -4,860 $303
     WAL5,322-4,860$303
Alliant Energy Corp 5,500 +550 $301
     LNT5,500+550$301
Markel Corp 255 +25 $292
     MKL255+25$292
Ingredion Inc 3,110 +300 $289
     INGR3,110+300$289
Verisk Analytics Inc 1,900 +200 $284
     VRSK1,900+200$284
Donaldson Co Inc 4,635 +450 $267
     DCI4,635+450$267
JM Smucker Co 2,500 +250 $260
     SJM2,500+250$260
Pinnacle West Capital Cor 2,875 +300 $259
     PNW2,875+300$259
Laboratory Crp of Amer 1,500 +150 $254
     LH1,500+150$254
Pioneer Natural Resources Co 1,660 +170 $251
     PXD1,660+170$251
Ametek Inc 2,500 +250 $249
     AME2,500+250$249
Grace W R & Co 3,500 +350 $244
     GRA3,500+350$244
Globe Life Inc 2,300 +250 $242
     GL2,300+250$242
Sherwin Williams Co 410 +40 $239
     SHW410+40$239
Edison International 3,050 +300 $230
     EIX3,050+300$230
Snap On Inc 1,340 +150 $227
     SNA1,340+150$227
Henry Schein 3,350 +350 $224
     HSIC3,350+350$224
East West Bancorp Inc 4,300 +450 $209
     EWBC4,300+450$209
Centene Corp. 3,000 +300 $189
     CNC3,000+300$189
Advance Auto Parts 1,100 +100 $176
     AAP1,100+100$176
Cms Energy Corp 2,800 +300 $176
     CMS2,800+300$176
Roper Corp 455 +50 $161
     ROP455+50$161
Nielsen NV 6,850 +700 $139
     NLSN6,850+700$139
Store Capital Corp 2,908 +160 $108
     STOR2,908+160$108
Lancaster Colony 603 +35 $97
     LANC603+35$97
UGI Corp 1,898 +80 $86
     UGI1,898+80$86
AngioDynamics Inc 4,905 +270 $79
     ANGO4,905+270$79
Occidental Petroleum 1,747 +200 $72
     OXY1,747+200$72
Synovus Financial Corp 1,804 +100 $71
     SNV1,804+100$71
Copart Inc 692 UNCH $63
     CPRT692UNCH$63
American Assets Trust Inc 1,180 +65 $54
     AAT1,180+65$54
Advanced Energy Inds Inc 760 +40 $54
     AEIS760+40$54
Factset Research Sys 200 UNCH $54
     FDS200UNCH$54
Fair Issac & Co 135 UNCH $51
     FICO135UNCH$51
Alaska Air Group 724 +40 $49
     ALK724+40$49
JetBlue Airways Corp 2,602 +145 $49
     JBLU2,602+145$49
Mettler Toledo Intl Inc 55 UNCH $44
     MTD55UNCH$44
Equity Lifestyle Properties 600 +300 $42
     ELS600+300$42
Silgan Holdings Inc 1,330 UNCH $41
     SLGN1,330UNCH$41
Cadence Design Systems 560 UNCH $39
     CDNS560UNCH$39
Graco Inc 729 UNCH $38
     GGG729UNCH$38
Lamar Advertising Co Cl A 430 UNCH $38
     LAMR430UNCH$38
SITE Centers Corp 2,680 +145 $38
     SITC2,680+145$38
American States Water Co 425 UNCH $37
     AWR425UNCH$37
Nordson Corp 225 UNCH $37
     NDSN225UNCH$37
Broadridge Financial Solutions 280 UNCH $35
     BR280UNCH$35
Aaron s Inc 570 UNCH $33
     AAN570UNCH$33
Hill Rom Holdings Inc 290 UNCH $33
     HRC290UNCH$33
Manhattan Associates 385 UNCH $31
     MANH385UNCH$31
Morningstar Inc 195 UNCH $30
     MORN195UNCH$30
Sei Investments Co 450 UNCH $29
     SEIC450UNCH$29
Henry Jack & Associates 190 UNCH $28
     JKHY190UNCH$28
Arthur J Gallagher & Co 280 UNCH $27
     AJG280UNCH$27
Toro Company 340 UNCH $27
     TTC340UNCH$27
Masimo Corp 165 UNCH $26
     MASI165UNCH$26
Woodward Inc 220 UNCH $26
     WWD220UNCH$26
Packaging Corp 225 UNCH $25
     PKG225UNCH$25
Robert Half Int l Inc 395 UNCH $25
     RHI395UNCH$25
Charles River Labs Intl Inc 155 UNCH $24
     CRL155UNCH$24
Southwest Gas Holdings Inc 310 UNCH $24
     SWX310UNCH$24
Federated Hermes Inc 675 UNCH $22
     FII675UNCH$22
Int l Flavors & Fragrances 170 UNCH $22
     IFF170UNCH$22
National Bankshares Inc Va (NKSH) 480 UNCH $22
     NKSH480UNCH$22
Scotts Co 195 UNCH $21
     SMG195UNCH$21
US Physical Therapy Inc 182 UNCH $21
     USPH182UNCH$21
Ensign Group Inc 450 UNCH $20
     ENSG450UNCH$20
Ingles Markets Inc cl A 430 UNCH $20
     IMKTA430UNCH$20
Science Applications Int l Corp 225 UNCH $20
     SAIC225UNCH$20
Clean Harbors 222 -174,554 $19
     CLH222-174,554$19
Computer Programs & Systems 715 UNCH $19
     CPSI715UNCH$19
Mcgrath Rentcorp 230 UNCH $18
     MGRC230UNCH$18
MSA Safety Inc. 145 UNCH $18
     MSA145UNCH$18
Caseys General Stores Inc 110 UNCH $17
     CASY110UNCH$17
Entertainment Properties TR 240 UNCH $17
     EPR240UNCH$17
Knoll Inc 675 UNCH $17
     KNL675UNCH$17
Moog Inc CL A      $17
     MOG.A195UNCH$17
Polyone Corp 450 UNCH $17
     POL450UNCH$17
Saul Centers Inc 305 UNCH $16
     BFS305UNCH$16
US Ecology Inc 280 UNCH $16
     ECOL280UNCH$16
Neenah Inc 225 UNCH $16
     NP225UNCH$16
Service Properties Trust 665 UNCH $16
     SVC665UNCH$16
Tegna Inc 980 UNCH $16
     TGNA980UNCH$16
Meridian Bioscience Inc 1,650 UNCH $16
     VIVO1,650UNCH$16
Wabco Holdings Inc 115 UNCH $16
     WBC115UNCH$16
Nic Inc 675 UNCH $15
     EGOV675UNCH$15
Medifast Inc 140 UNCH $15
     MED140UNCH$15
Extended Stay America Inc 1,010 UNCH $15
     STAY1,010UNCH$15
IShares Small Cap 600 G ETF (IJT) 75 +75 $14
     IJT75+75$14
AMERCO 36 UNCH $14
     UHAL36UNCH$14
Weingarten Realty Invst 445 UNCH $14
     WRI445UNCH$14
Interpublic Group of Cos 505 UNCH $12
     IPG505UNCH$12
Eagle Bancorp Inc MD 225 UNCH $11
     EGBN225UNCH$11
Cardtronics Plc Class A 221 -371,878 $10
     CATM221-371,878$10
Ryder System Inc 190 UNCH $10
     R190UNCH$10
Pennant Group Inc the 225 +225 $7
     PNTGV225+225$7
Global Payment Inc 34 UNCH $6
     GPN34UNCH$6
Haemonetics Corp 49 UNCH $6
     HAE49UNCH$6
Artisan Partners Asset Mgmt 148 -90 $5
     APAM148-90$5
Liveramp Holdings Inc 102 UNCH $5
     RAMP102UNCH$5
Apollo Invt Corp Com 80 -97,993 $1
     AINV80-97,993$1
Bloomin Brands Inc Com 46 -108 $1
     BLMN46-108$1
Invitation Homes Inc 36 UNCH $1
     INVH36UNCH$1
Starwood Property Trust Inc 57 UNCH $1
     STWD57UNCH$1
Wyndham Hotels & Resorts Inc 11 UNCH $1
     WH11UNCH$1
Civeo Corp CDA Com 87 -2,782,058 $0
     CVEO87-2,782,058$0
Akorn Inc $0 (exited)
     AKRX0-473,450$0
AMC Entertainment Holdings $0 (exited)
     AMC0-501,518$0
AMC Networks Inc $0 (exited)
     AMCX0-88,829$0
Antero Resources Corp $0 (exited)
     AR0-14,600$0
Actuant Corp CL A $0 (exited)
     ATU0-1,289,836$0
Sotheby s Holdings $0 (exited)
     BID0-694,689$0
Dril Quip Inc $0 (exited)
     DRQ0-190,241$0
Enphase Energy Inc $0 (exited)
     ENPH0-297,346$0
EzCorp Inc $0 (exited)
     EZPW0-667,894$0
Chart Industries Inc $0 (exited)
     GTLS0-89,382$0
Hasbro Inc $0 (exited)
     HAS0-13,582$0
Heritage Insurance Holdings $0 (exited)
     HRTG0-194,148$0
Infinera Corp $0 (exited)
     INFN0-453,570$0
Grand Canyon Education Inc $0 (exited)
     LOPE0-64,072$0
The Lovesac Company $0 (exited)
     LOVE0-66,668$0
Mitek Systems Inc $0 (exited)
     MITK0-261,380$0
Msg Networks Inc $0 (exited)
     MSGN0-228,746$0
Rigel Pharmaceuticals Inc $0 (exited)
     RIGL0-723,868$0
Seaworld Entertainment Inc $0 (exited)
     SEAS0-288,773$0
Smart Global Holdings Inc $0 (exited)
     SGH0-152,549$0
US Silica Holdings Inc $0 (exited)
     SLCA0-2,482,840$0
SunPower Corp $0 (exited)
     SPWR0-751,656$0
Telaria Inc $0 (exited)
     TLRA0-279,357$0
Tile Shop Holdings Inc $0 (exited)
     TTS0-452,300$0
Tupperware Brands $0 (exited)
     TUP0-1,570,995$0
USA Truck Inc $0 (exited)
     USAK0-175,224$0
Vonage Holdings Corp $0 (exited)
     VG0-601,561$0
Vera Bradley Inc $0 (exited)
     VRA0-190,300$0
Waitr Holdings Inc $0 (exited)
     WTRH0-185,195$0
WW International Inc $0 (exited)
     WW0-266,252$0
World Wrestling Entmt Inc $0 (exited)
     WWE0-174,788$0
Xilinx Inc $0 (exited)
     XLNX0-35,372$0
Zovio Inc 0 -86,615 $0 (exited)
     ZVO0-86,615$0

See Summary: Fuller & Thaler Asset Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Fuller & Thaler Asset Management Inc.

EntityShares/Amount
Change
Position Value
Change
EPAC +1,198,811+$31,205
DK +757,009+$25,383
QRTEA +1,769,075+$14,913
BLD +113,814+$11,732
SYNA +144,887+$9,529
PING +390,279+$9,484
EYE +265,003+$8,594
NVRO +73,064+$8,588
RGEN +89,905+$8,316
SHOO +188,976+$8,128
EntityShares/Amount
Change
Position Value
Change
BID -694,689-$39,583
ATU -1,289,836-$28,299
TUP -1,570,995-$24,932
SLCA -2,482,840-$23,736
WWE -174,788-$12,436
WW -266,252-$10,070
DRQ -190,241-$9,546
SPWR -751,656-$8,246
SEAS -288,773-$7,601
VG -601,561-$6,798
EntityShares/Amount
Change
Position Value
Change
COT +2,798,583+$38,321
FHN +1,049,162+$21,914
POR +989,185+$54,808
WPX +968,914+$47,355
FNB +803,697+$25,142
MMS +590,192+$43,904
BMCH +540,839+$16,744
SMPL +516,306+$14,595
PTEN +497,969+$16,963
TTI +442,913+$499
EntityShares/Amount
Change
Position Value
Change
KEY -7,406,141-$122,347
CLNY -3,948,549-$34,129
COMM -2,846,594-$26,207
CVEO -2,782,058-$3,533
CMC -2,269,206-$30,303
TEN -2,020,258-$24,054
ENR -1,900,873-$71,551
CNO -1,715,366-$11,259
KMT -1,437,392-$37,215
Size ($ in 1000's)
At 12/31/2019: $8,961,014
At 09/30/2019: $8,443,016

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

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