HoldingsChannel.com
All Stocks Held By Hodges Capital Management Inc.
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
TEXAS PAC LD TR 65,609 -4,010 $51,255
     TPL65,609-4,010$51,255
COMMERCIAL METALS CO 1,718,329 -491,934 $38,267
     CMC1,718,329-491,934$38,267
CLEVELAND CLIFFS INC 2,691,550 -465,795 $22,608
     CLF2,691,550-465,795$22,608
EAGLE MATERIALS INC 242,068 -45,420 $21,946
     EXP242,068-45,420$21,946
NCR CORP NEW 531,370 -65,525 $18,683
     NCR531,370-65,525$18,683
EXACT SCIENCES CORP 179,885 +11,935 $16,636
     EXAS179,885+11,935$16,636
U S CONCRETE INC 380,160 -885 $15,838
     USCR380,160-885$15,838
CENTURY CMNTYS INC 555,452 -94,275 $15,192
     CCS555,452-94,275$15,192
HILLTOP HOLDINGS INC 571,828 -59,303 $14,256
     HTH571,828-59,303$14,256
REVOLVE GROUP INC 735,080 +50,835 $13,496
     RVLV735,080+50,835$13,496
AMERICAN AIRLS GROUP 457,863 -44,066 $13,132
     AAL457,863-44,066$13,132
TRIUMPH BANCORP INC 326,620 -77,546 $12,418
     TBK326,620-77,546$12,418
YETI HLDGS INC 354,125 -162,105 $12,316
     YETI354,125-162,105$12,316
MATADOR RES CO 667,631 -83,426 $11,998
     MTDR667,631-83,426$11,998
BRUNSWICK CORP 188,912 -107,503 $11,331
     BC188,912-107,503$11,331
GOOSEHEAD INS INC 244,762 -18,248 $10,378
     GSHD244,762-18,248$10,378
BOEING CO 30,511 +511 $9,939
     BA30,511+661$9,939
NORWEGIAN CRUISE LIN 161,104 -35,745 $9,410
     NCLH161,104-35,745$9,410
MICRON TECHNOLOGY IN 172,778 -28,660 $9,292
     MU172,778-28,660$9,292
MICROSOFT CORP 55,892 +5,006 $8,814
     MSFT55,892+5,006$8,814
FIVE9 INC 121,490 +16,825 $7,967
     FIVN121,490+16,825$7,967
AMERICAN EAGLE OUTFI 536,695 -178,924 $7,889
     AEO536,695-178,924$7,889
ENLINK MIDSTREAM LLC 1,258,874 +391,434 $7,718
     ENLC1,258,874+391,434$7,718
WPX ENERGY INC 552,893 -313,970 $7,597
     WPX552,893-313,970$7,597
APPLE INC 25,109 -527 $7,373
     AAPL25,109-527$7,373
BANK AMER CORP 208,747 +3,282 $7,352
     BAC208,747+3,282$7,352
BROOKS AUTOMATION IN 168,295 -254,225 $7,062
     BRKS168,295-254,225$7,062
MERCK & CO INC 75,708 +584 $6,886
     MRK75,708+584$6,886
JOHNSON & JOHNSON 46,173 -1,970 $6,735
     JNJ46,173-1,970$6,735
HANOVER INS GROUP IN 48,340 -30,075 $6,607
     THG48,340-30,075$6,607
ENCORE WIRE CORP 110,050 -71,605 $6,317
     WIRE110,050-71,605$6,317
SPIRIT AIRLS INC 156,460 -79,150 $6,307
     SAVE156,460-79,150$6,307
INTL PAPER CO 135,565 -5,871 $6,243
     IP135,565-5,871$6,243
DULUTH HLDGS INC 582,930 +363,230 $6,138
     DLTH582,930+363,230$6,138
GOGO INC 958,600 -147,500 $6,135
     GOGO958,600-147,500$6,135
TOWER SEMICONDUCTOR 252,655 +252,655 $6,078
     TSEM252,655+252,655$6,078
TWITTER INC 189,135 -42,995 $6,062
     TWTR189,135-42,995$6,062
HEALTHEQUITY INC 78,829 -70,066 $5,839
     HQY78,829-70,066$5,839
OWENS CORNING NEW 87,964 +1,595 $5,729
     OC87,964+1,595$5,729
RH 26,538 -30,384 $5,666
     RH26,538-30,384$5,666
AT HOME GROUP INC 1,003,905 -929,855 $5,521
     HOME1,003,905-929,855$5,521
HOME DEPOT INC 25,048 -630 $5,470
     HD25,048-630$5,470
AT&T INC 136,896 +5,005 $5,350
     T136,896+5,005$5,350
WALMART INC 44,754 -305 $5,318
     WMT44,754-305$5,318
ABBVIE INC 58,494 +15,797 $5,238
     ABBV58,494+15,797$5,238
KIRBY CORP 57,882 +52,849 $5,182
     KEX57,882+52,849$5,182
TWILIO INC 52,159 +15,196 $5,126
     TWLO52,159+15,196$5,126
SAILPOINT TECHNLGIES 212,000 +25,500 $5,003
     SAIL212,000+25,500$5,003
FEDERAL SIGNAL CORP 155,075 +28,060 $5,002
     FSS155,075+28,060$5,002
SHOE CARNIVAL INC 130,546 -91,585 $4,867
     SCVL130,546-91,585$4,867
JPMORGAN CHASE & CO 34,706 +21 $4,838
     JPM34,706+21$4,838
CONNS INC 379,215 -130,900 $4,699
     CONN379,215-130,900$4,699
OLLIES BARGAIN OUTLT 71,945 -32,040 $4,699
     OLLI71,945-32,040$4,699
DELTA AIR LINES INC 80,185 +1,523 $4,689
     DAL80,185+1,523$4,689
ARCOSA INC 103,930 -29,485 $4,630
     ACA103,930-29,485$4,630
UPLAND SOFTWARE INC 129,519 +342 $4,625
     UPLD129,519+342$4,625
SCORPIO TANKERS INC 117,300 +117,300 $4,615
     STNG117,300+117,300$4,615
PRIMORIS SVCS CORP 207,365 +49,210 $4,612
     PRIM207,365+49,210$4,612
SQUARE INC 73,300 -215 $4,586
     SQ73,300-215$4,586
LYON WILLIAM HOMES 220,150 -3,250 $4,399
     WLH220,150-3,250$4,399
TANDEM DIABETES CARE 72,625 -40,045 $4,329
     TNDM72,625-40,045$4,329
PARSLEY ENERGY INC 217,280 +186,380 $4,109
     PE217,280+186,380$4,109
NAPCO SEC TECHNOLOGI 133,980 -49,965 $3,938
     NSSC133,980-49,965$3,938
IRONWOOD PHARMACEUTI 292,865 +292,865 $3,898
     IRWD292,865+292,865$3,898
CALERES INC 161,891 -72,155 $3,845
     CAL161,891-72,155$3,845
TEXAS ROADHOUSE INC 68,083 -103,151 $3,835
     TXRH68,083-103,151$3,835
CENTENNIAL RESOURCE 823,160 +823,160 $3,803
     CDEV823,160+823,160$3,803
NXP SEMICONDUCTORS N 29,450 -6,430 $3,748
     NXPI29,450-6,430$3,748
ONEOK INC NEW 49,494 -203 $3,745
     OKE49,494-203$3,745
LUBYS INC 1,674,770 +26,900 $3,684
     LUB1,674,770+26,900$3,684
SOUTHWEST AIRLS CO 66,408 +808 $3,585
     LUV66,408+808$3,585
DIODES INC 61,595 -97,650 $3,472
     DIOD61,595-97,650$3,472
VERIZON COMMUNICATIO 55,033 -2,557 $3,379
     VZ55,033-2,557$3,379
BRINKER INTL INC 80,120 -27,105 $3,365
     EAT80,120-27,105$3,365
BLACKBAUD INC 41,440 -5,060 $3,298
     BLKB41,440-5,060$3,298
DISNEY WALT CO 22,790 +2,980 $3,296
     DIS22,790+2,980$3,296
GEO GROUP INC NEW 195,084 +6,802 $3,240
     GEO195,084+6,802$3,240
CAPRI HOLDINGS LIMIT 83,815 -163,450 $3,198
     CPRI83,815-163,450$3,198
AMERICAS CAR MART IN 27,788 +27,788 $3,047
     CRMT27,788+27,788$3,047
CRISPR THERAPEUTICS 50,000 +50,000 $3,045
     CRSP50,000+50,000$3,045
INTEL CORP 50,819 -20,192 $3,042
     INTC50,819-20,192$3,042
EXXON MOBIL CORP 42,758 -4,107 $2,984
     XOM42,758-4,107$2,984
FEDEX CORP 19,346 -1,482 $2,926
     FDX19,346-1,482$2,926
FACEBOOK INC 13,920 +83 $2,858
     FB13,920+83$2,858
SKYWORKS SOLUTIONS I 22,000 -18,000 $2,659
     SWKS22,000-18,000$2,659
UNITED RENTALS INC 15,675 +1,560 $2,614
     URI15,675+1,560$2,614
CVS HEALTH CORP 34,219 +5,711 $2,542
     CVS34,219+5,711$2,542
LOWES COS INC 20,637 +510 $2,471
     LOW20,637+510$2,471
TEXAS INSTRS INC 18,518 -848 $2,376
     TXN18,518-848$2,376
TARGA RES CORP 56,086 -262 $2,290
     TRGP56,086-262$2,290
COCA COLA CO 41,300 +27 $2,286
     KO41,300+27$2,286
CALLON PETE CO DEL 460,000 +460,000 $2,222
     CPE460,000+460,000$2,222
VISA INC 11,684 -51 $2,195
     V11,684-51$2,195
AMAZON COM INC 1,180 -20 $2,180
     AMZN1,180+20$2,180
RYMAN HOSPITALITY PP 24,705 -1,234 $2,141
     RHP24,705-1,234$2,141
UNION PACIFIC CORP 11,731 +67 $2,121
     UNP11,731+67$2,121
BOSTON SCIENTIFIC CO 46,838 -11,596 $2,118
     BSX46,838-11,596$2,118
DIAMONDBACK ENERGY I 22,627 -44,930 $2,101
     FANG22,627-44,930$2,101
SHERWIN WILLIAMS CO 1,530 +160 $2,091
     SHW1,530+335$2,091
SCHLUMBERGER LTD 50,142 +17,863 $2,016
     SLB50,142+17,863$2,016
NORDIC AMERICAN TANK 405,000 +405,000 $1,993
     NAT405,000+405,000$1,993
DIXIE GROUP INC 1,697,415 -112,319 $1,935
     DXYN1,697,415-112,319$1,935
APPLIED MATLS INC 30,856 -5,771 $1,884
     AMAT30,856-5,771$1,884
PEPSICO INC 13,738 UNCH $1,878
     PEP13,738UNCH$1,878
CONCHO RES INC 5,083 -588 $1,844
     CXO5,083+262$1,844
CHEVRON CORP NEW 15,044 -360 $1,813
     CVX15,044-360$1,813
UNITED STATES STL CO 152,082 -35,799 $1,735
     X152,082-35,799$1,735
ABBOTT LABS 19,731 +1,390 $1,714
     ABT19,731+1,390$1,714
AMERICAN EXPRESS CO 13,478 +565 $1,678
     AXP13,478+565$1,678
NEXSTAR MEDIA GROUP 2,875 +2,525 $1,553
     NXST2,875+2,875$1,553
CISCO SYS INC 30,846 -8,478 $1,479
     CSCO30,846-8,478$1,479
PROCTER & GAMBLE CO 11,566 -501 $1,445
     PG11,566-501$1,445
HELMERICH & PAYNE IN 29,796 -247 $1,353
     HP29,796-247$1,353
COSTCO WHSL CORP NEW 4,511 +49 $1,325
     COST4,511+49$1,325
WHIRLPOOL CORP 8,937 +1,943 $1,318
     WHR8,937+1,943$1,318
D R HORTON INC 24,754 -2,408 $1,306
     DHI24,754-2,408$1,306
DOW INC 23,796 +2,652 $1,303
     DOW23,796+2,652$1,303
NVIDIA CORP 5,212 +687 $1,226
     NVDA5,212+687$1,226
CITIGROUP INC 14,996 -182 $1,198
     C14,996-182$1,198
WELLS FARGO CO NEW 21,969 +1,806 $1,182
     WFC21,969+1,806$1,182
UNITED AIRLINES HLDG 13,250 UNCH $1,167
     UAL13,250UNCH$1,167
TAKE TWO INTERACTIVE 750 +400 $1,155
     TTWO750+750$1,155
CATERPILLAR INC DEL 7,632 -10,048 $1,127
     CAT7,632-10,048$1,127
ENERGY TRANSFER LP 87,323 -6,832 $1,120
     ET87,323-6,832$1,120
MARATHON PETE CORP 17,910 +102 $1,079
     MPC17,910+102$1,079
TAPESTRY INC 36,250 -27,050 $978
     TPR36,250-27,050$978
GOLDMAN SACHS GROUP 275 +275 $936
     GS275+275$936
GENERAC HLDGS INC 8,713 +8,713 $876
     GNRC8,713+8,713$876
KANSAS CITY SOUTHERN 5,565 -2,700 $852
     KSU5,565-2,700$852
MCDONALDS CORP 4,274 +1,761 $845
     MCD4,274+1,761$845
CREE INC 18,272 -139,708 $843
     CREE18,272-139,708$843
BRISTOL MYERS SQUIBB 12,150 +12,150 $780
     BMY12,150+12,150$780
WAITR HLDGS INC 2,246,970 -1,597,205 $723
     WTRH2,246,970-1,597,205$723
BLACKSTONE GROUP INC 12,907 +12,907 $722
     BX12,907+12,907$722
AGCO CORP 9,337 +4,198 $721
     AGCO9,337+4,198$721
TYSON FOODS INC 7,782 -37,709 $708
     TSN7,782-37,509$708
LOCKHEED MARTIN CORP 1,657 -151 $645
     LMT1,657-151$645
DEXCOM INC 2,860 -870 $626
     DXCM2,860-870$626
VISTRA ENERGY CORP 25,750 -4,092 $592
     VST25,750-4,092$592
MASTERCARD INC 1,971 +1 $588
     MA1,971+1$588
DUKE ENERGY CORP NEW 6,134 -87 $560
     DUK6,134-87$560
ALPHABET INC 414 UNCH $555
     GOOGL414UNCH$555
BERKSHIRE HATHAWAY I      $542
     BRK.B2,391UNCH$542
ALPHABET INC 403 -1 $539
     GOOG403-1$539
HONEYWELL INTL INC 3,038 +2 $538
     HON3,038+2$538
INDEPENDENT BK GROUP 9,352 -111,100 $519
     IBTX9,352-111,100$519
REGIS CORP MINN 29,065 +1,315 $519
     RGS29,065+1,315$519
LGI HOMES INC 7,240 -6 $512
     LGIH7,240-6$512
UNITED PARCEL SERVIC 4,260 +450 $499
     UPS4,260+450$499
SPDR GOLD TRUST (GLD) 3,465 +50 $495
     GLD3,465+50$495
ON SEMICONDUCTOR COR 20,117 +117 $490
     ON20,117+117$490
LILLY ELI & CO 3,716 +250 $488
     LLY3,716+250$488
ALASKA AIR GROUP INC 7,042 +1,007 $477
     ALK7,042+1,007$477
CONTINENTAL RESOURCE 13,700 -3,000 $470
     CLR13,700-3,000$470
ARCHER DANIELS MIDLA 10,123 -188 $469
     ADM10,123-188$469
KKR & CO INC 16,011 -2,436 $467
     KKR16,011-2,436$467
RLJ LODGING TR      $432
     RLJ.PRA15,050UNCH$432
TYLER TECHNOLOGIES I 1,410 -290 $423
     TYL1,410-290$423
PROSPERITY BANCSHARE 5,873 +5,873 $422
     PB5,873+5,873$422
REAVES UTIL INCOME F 11,296 -9,953 $419
     UTG11,296-9,953$419
COMSTOCK RES INC 50,000 -1 $412
     CRK50,000-1$412
COMERICA INC 5,500 UNCH $395
     CMA5,500UNCH$395
DELTA APPAREL INC 12,000 -3,000 $373
     DLA12,000-3,000$373
CAPSTEAD MTG CORP 45,000 +45,000 $356
     CMO45,000+45,000$356
MEDICAL PPTYS TRUST 16,850 UNCH $356
     MPW16,850UNCH$356
ATMOS ENERGY CORP 3,132 -300 $350
     ATO3,132-300$350
PROPETRO HLDG CORP 31,000 +31,000 $348
     PUMP31,000+31,000$348
STARBUCKS CORP 3,848 -150 $338
     SBUX3,848-150$338
LIVE NATION ENTERTAI 4,540 -1,460 $324
     LYV4,540-1,460$324
GENERAL MTRS CO 8,737 -1,672 $320
     GM8,737-1,672$320
LUMENTUM HLDGS INC 4,022 +4,022 $319
     LITE4,022+4,022$319
GLAXOSMITHKLINE PLC 6,400 UNCH $301
     GSK6,400UNCH$301
SMUCKER J M CO 2,852 -2,050 $297
     SJM2,852-2,050$297
APOLLO GLOBAL MGMT I 6,100 +6,100 $291
     APO6,100+6,100$291
SOUTHERN CO 4,467 -157 $285
     SO4,467-157$285
ELANCO ANIMAL HEALTH 9,500 +9,500 $280
     ELAN9,500+9,500$280
PIONEER NAT RES CO 1,850 UNCH $280
     PXD1,850UNCH$280
CECO ENVIRONMENTAL C 35,000 -10,000 $268
     CECE35,000-10,000$268
ENTERPRISE PRODS PAR 9,500 -2,000 $268
     EPD9,500-2,000$268
HALLMARK FINL SVCS I 15,260 +15,260 $268
     HALL15,260+15,260$268
NORTHWEST PIPE CO 8,000 -6,000 $266
     NWPX8,000-6,000$266
HORACE MANN EDUCATOR 6,000 +1,000 $262
     HMN6,000+1,000$262
BLUE BIRD CORP 11,230 +530 $257
     BLBD11,230+530$257
SPIRIT AEROSYSTEMS H 3,500 +3,500 $255
     SPR3,500+3,500$255
SMARTSHEET INC 5,600 -4,205 $252
     SMAR5,600-4,205$252
TEAM INC 15,270 -18,080 $244
     TISI15,270-18,080$244
ISHARES INC (EWW) 5,400 +200 $243
     EWW5,400+200$243
CINEMARK HOLDINGS IN 7,075 -118,325 $239
     CNK7,075-118,325$239
LENNAR CORP 4,250 -500 $237
     LEN4,250-500$237
MOELIS & CO 7,415 -109,585 $237
     MC7,415-109,585$237
KNOWLES CORP 11,150 -174,290 $236
     KN11,150-174,290$236
CRAWFORD & CO      $235
     CRD.A20,465+1,015$235
PAYPAL HLDGS INC 2,151 -4,924 $233
     PYPL2,151-4,924$233
XCEL ENERGY INC 3,650 -400 $232
     XEL3,650-400$232
IBERIABANK CORP 3,000 UNCH $224
     IBKC3,000UNCH$224
LAWSON PRODS INC 4,165 -2,885 $217
     LAWS4,165-2,885$217
PACWEST BANCORP DEL 5,600 -1,500 $214
     PACW5,600-1,500$214
PHILIP MORRIS INTL I 2,425 -1,000 $206
     PM2,425-1,000$206
INSULET CORP 1,200 +925 $205
     PODD1,200+1,200$205
STONERIDGE INC 7,000 UNCH $205
     SRI7,000UNCH$205
FARMER BROS CO 13,500 +13,500 $203
     FARM13,500+13,500$203
G1 THERAPEUTICS INC 7,654 +7,654 $202
     GTHX7,654+7,654$202
NIKE INC 1,975 +1,975 $200
     NKE1,975+1,975$200
TILLYS INC 16,000 UNCH $196
     TLYS16,000UNCH$196
ABERCROMBIE & FITCH 11,000 +11,000 $190
     ANF11,000+11,000$190
TUESDAY MORNING CORP 100,000 -5,800 $185
     TUES100,000-5,800$185
LOVESAC COMPANY 10,000 +10,000 $161
     LOVE10,000+10,000$161
ORION GROUP HOLDINGS 28,300 +28,300 $147
     ORN28,300+28,300$147
ADT INC 17,800 +17,800 $141
     ADT17,800+17,800$141
CLEAR CHANNEL OUTDOO 34,300 +34,300 $98
     CCO34,300+34,300$98
MVC CAPITAL INC 10,000 UNCH $92
     MVC10,000UNCH$92
NABORS INDUSTRIES LT 20,000 UNCH $58
     NBR20,000UNCH$58
FORTINET ORD 500 +500 $53
     FTNT500+500$53
ABRAXAS PETE CORP 112,700 UNCH $40
     AXAS112,700UNCH$40
CAPITAL SR LIVING CO 12,150 +12,150 $38
     CSU12,150+12,150$38
AQUA METALS INC 25,000 +0 $19
     AQMS25,000UNCH$19
APPROACH RESOURCES I $0 (exited)
     AREX0-10,000$0
BP PLC $0 (exited)
     BP0-5,411$0
CUMMINS INC $0 (exited)
     CMI0-4,896$0
CYRUSONE INC $0 (exited)
     CONE0-3,964$0
CRYOLIFE INC $0 (exited)
     CRY0-159,220$0
ELDORADO RESORTS INC $0 (exited)
     ERI0-156,165$0
EZCORP INC $0 (exited)
     EZPW0-36,875$0
FORD MTR CO DEL $0 (exited)
     F0-10,400$0
FIVE BELOW INC $0 (exited)
     FIVE0-4,000$0
HALLIBURTON CO $0 (exited)
     HAL0-13,114$0
ICHOR HOLDINGS $0 (exited)
     ICHR0-9,000$0
PENNEY J C CORP INC $0 (exited)
     JCP0-51,000$0
GLADSTONE LD CORP $0 (exited)
     LAND0-10,830$0
LEGACY TEX FINL GROU $0 (exited)
     LTXB0-8,250$0
MERIT MED SYS INC $0 (exited)
     MMSI0-248,820$0
MERCURY SYS INC $0 (exited)
     MRCY0-10,000$0
NOBLE MIDSTREAM PART $0 (exited)
     NBLX0-13,750$0
NUVECTRA CORP $0 (exited)
     NVTR0-40,502$0
PETIQ INC $0 (exited)
     PETQ0-9,635$0
PARTY CITY HOLDCO IN $0 (exited)
     PRTY0-18,300$0
SUNRUN INC $0 (exited)
     RUN0-210,230$0
SANDERSON FARMS INC $0 (exited)
     SAFM0-31,671$0
SAIA INC $0 (exited)
     SAIA0-20,000$0
VENTAS INC 0 -3,400 $0 (exited)
     VTR0-3,400$0

See Summary: Hodges Capital Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Hodges Capital Management Inc.

EntityShares/Amount
Change
Position Value
Change
TSEM +252,655+$6,078
STNG +117,300+$4,615
IRWD +292,865+$3,898
CDEV +823,160+$3,803
CRMT +27,788+$3,047
CRSP +50,000+$3,045
CPE +460,000+$2,222
NAT +405,000+$1,993
GS +275+$936
GNRC +8,713+$876
EntityShares/Amount
Change
Position Value
Change
MMSI -248,820-$7,579
ERI -156,165-$6,226
SAFM -31,671-$4,793
CRY -159,220-$4,323
RUN -210,230-$3,512
SAIA -20,000-$1,874
MRCY -10,000-$812
CMI -4,896-$796
FIVE -4,000-$504
LTXB -8,250-$359
EntityShares/Amount
Change
Position Value
Change
ENLC +391,434+$345
DLTH +363,230+$4,275
PE +186,380+$3,590
KEX +52,849+$4,768
RVLV +50,835-$2,495
PRIM +49,210+$1,511
FSS +28,060+$844
LUB +26,900+$548
SAIL +25,500+$1,517
SLB +17,863+$913
EntityShares/Amount
Change
Position Value
Change
WTRH -1,597,205-$4,217
HOME -929,855-$13,082
CMC -491,934-$147
CLF -465,795-$188
WPX -313,970-$1,583
BRKS -254,225-$8,584
AEO -178,924-$3,718
KN -174,290-$3,536
CPRI -163,450-$5,001
Size ($ in 1000's)
At 12/31/2019: $760,697
At 09/30/2019: $867,872

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

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