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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
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14
BARD ASSOCIATES INC

Time Period2019-06-30

Total Holdings163

Total Value ($x1000)200,388
Activities
New20

Increased9

Unchanged30

Decreased104

Sold Out25

Top 10 Stock Holdingstotal 26.06%
USPH4.06

WLDN3.79

ENSG3.3

IIVI3.1

ECC2.25

 
KWR2.17

CATS2.04

BCPC1.86

NEWT1.8

SACH1.69

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
USPH
4.06%
COM
WLDN
3.79%
COM
ENSG
3.3%
COM
IIVI
3.1%
COM
ECC
2.25%
COM
KWR
2.17%
COM
CATS
2.04%
COM PAR
BCPC
1.86%
COM
NEWT
1.8%
COM NEW
SACH
1.69%
COM
ACU
1.56%
COM
GSB
1.55%
COM
PSCU
1.5%
S&P SMLCP UTIL
KTOS
1.41%
COM NEW
TGEN
1.37%
COM NEW
CSV
1.32%
COM
TYL
1.31%
COM
AJX
1.28%
COM
AIRG
1.25%
COM
GDXJ
1.24%
JR GOLD MINERS E
NEO
1.24%
COM NEW
PCYO
1.23%
COM NEW
REED
1.12%
COM
LEGH
1.1%
COM
APTS
1.03%
COM
CORR
1.03%
COM NEW
IRT
1.02%
COM
GWRS
1.01%
COM
OR
1%
COM
IDSY
1%
COM
OCCI
0.98%
COM
SHSP
0.97%
COM
ACRE
0.95%
COM
SPKE
0.93%
COM
XFLT
0.92%
COM
PBA
0.9%
COM
USAC
0.89%
COMUNIT LTDPAR
PSTL
0.85%
CL A
RMT
0.84%
COM
RGLD
0.83%
COM
IEX
0.82%
COM
SP
0.81%
COM
SAND
0.8%
COM NEW
MPW
0.79%
COM
BRG
0.77%
COM CL A
HCN
0.77%
COM
WPM
0.75%
COM
LOAN
0.74%
COM
CDOR
0.73%
COM NEW
CUBI
0.73%
COM
AG
0.72%
COM
PICO
0.71%
COM NEW
LAND
0.71%
COM
INTT
0.7%
COM
GOOD
0.69%
COM
SOHO
0.68%
COM
SRCL
0.67%
COM
JYNT
0.67%
COM
DHXM
0.66%
COM VAR VTG
GFN
0.66%
COM
MNR
0.66%
CL A
EVSI
0.65%
COM
CIO
0.64%
COM
TEUM
0.64%
COM NEW
TRGP
0.57%
COM
EPM
0.56%
COM
TISI
0.55%
COM
NTN
0.53%
COM PAR
MRTN
0.52%
COM
CTRE
0.52%
COM
JKHY
0.51%
COM
ISDR
0.51%
COM NEW
FNV
0.51%
COM
LMRK
0.49%
COM UNIT LTD
ASUR
0.47%
COM
TREC
0.47%
COM
ATMR
0.46%
COM
GNUS
0.45%
COM PAR
WHLRD
0.45%
PFD CNV SER D
CRWS
0.45%
COM
CCMP
0.43%
COM
NTG
0.43%
COM
BRK.B
0.42%
CL B NEW
DAKT
0.42%
COM
ASM
0.41%
COM
GVP
0.38%
COM
FPI
0.37%
COM
UWM
0.37%
PSHS ULTRUSS2000
HDSN
0.36%
COM
NEM
0.34%
COM
CVU
0.34%
COM NEW
SSNT
0.33%
COM NEW
IIN
0.33%
COM
UMH
0.33%
COM
MLR
0.32%
COM NEW
HBIO
0.32%
COM
OXLC
0.32%
COM
ABCB
0.32%
COM
HASI
0.3%
COM
AHT
0.29%
COM SHS
FFC
0.27%
COM
FUN
0.25%
DEPOSITRY UNIT
SAM
0.25%
CL A
DLPN
0.25%
COM
CPIX
0.24%
COM
POLA
0.24%
COM
SKIS
0.24%
COM
CREX
0.23%
COM NEW
HROW
0.22%
COM
HMLP
0.22%
COM UNIT LTD
BANX
0.21%
COM
SLV
0.2%
ISHARES
CSWC
0.2%
COM
TBLTU
0.2%
UNIT 10/10/20233
ARCC
0.2%
COM
LXP
0.19%
COM
BWL/A
0.19%
CL A
KYN
0.19%
COM
EVI
0.18%
COM
CLCT
0.18%
COM NEW
TIP
0.17%
TIPS BD ETF
NMFC
0.17%
COM
BOXL
0.17%
CL A
SA
0.16%
COM
EVA
0.16%
COM UNIT
EVSIW
0.15%
*W EXP 12/30/202
JJSF
0.14%
COM
GDX
0.14%
GOLD MINERS ETF
SBNY
0.14%
COM
RCMT
0.13%
COM NEW
JOF
0.13%
COM
EFT
0.12%
COM
GLD
0.12%
GOLD SHS
FTAI
0.12%
COM REP LTD LIAB
DMLP
0.12%
COM UNIT
SNOA
0.11%
COM NEW
PEB
0.11%
COM
CGO
0.1%
COM SH BEN INT
ITI
0.1%
COM
DSL
0.1%
COM
ADMP
0.09%
COM NEW
PRTS
0.09%
COM
SNH
0.08%
SH BEN INT
SSW
0.07%
SHS
EYPT
0.07%
COM
CSSE
0.07%
CL A
RIBT
0.06%
COMNEW
FMO
0.06%
COM
KMF
0.06%
COM
CECE
0.06%
COM
CH
0.05%
COM
DAIO
0.04%
COM
AUY
0.03%
COM
MTBC
0.03%
COM
CREXW
0.02%
*W EXP 11/09/202
CETXW
0.02%
*W EXP 12/02/202
JMP
0.02%
COM
GTE
0.02%
COM
DRIO
0.02%
COM
BMRA
0.01%
COM NEW
SDPI
0.01%
COM
DRIOW
< 0.01%
*W EXP 03/08/202
CHEKW
< 0.01%
*W EXP 02/28/202
INUV
1%
COM NEW
MPW
0.85%
PRN
GOOD
0.69%
PRN
MNR
0.65%
PRN
NTN
0.59%
PRN
TBLTU
0.46%
PRN
WHLRD
0.43%
PRN
BLNK
0.41%
COM
UMH
0.37%
PRN
BLNKW
0.35%
*W EXP 01/31/202
FUN
0.28%
PRN
GG
0.24%
COM
SOLOW
0.21%
*W EXP 08/03/202
LXP
0.19%
PRN
SGBX
0.17%
COM PAR
GLAD
0.13%
COM
DMLP
0.13%
PRN
SNOA
0.12%
COM
SNH
0.11%
PRN
DSL
0.1%
PRN
AGF
0.04%
PS AGRI LG ETN
EMKR
0.04%
COM NEW
AXR
0.03%
COM
LGCY
0.02%
COM
SRTSW
0.02%
*W EXP 06/08/201