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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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Market Cap
Large
Value
Mid
Blend
Small
Growth
26
9
41
1
3
6
14
11
21
INVESTMENT COUNSELORS OF MARYLAND LLC

Time Period2019-06-30

Total Holdings190

Total Value ($x1000)2,146,400
Activities
New9

Increased118

Unchanged45

Decreased18

Sold Out6

Top 10 Stock Holdingstotal 13.26%
GPI1.44

QTS1.38

BDC1.37

ICFI1.34

ATKR1.32

 
MEI1.3

FSS1.3

AEIS1.28

CNDT1.27

AGII1.26

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
GPI
1.44%
COM
QTS
1.38%
COM CL A
BDC
1.37%
COM
ICFI
1.34%
COM
ATKR
1.32%
COM
MEI
1.3%
COM
FSS
1.3%
COM
AEIS
1.28%
COM
CNDT
1.27%
COM
AGII
1.26%
COM
KRG
1.24%
COM NEW
NXGN
1.24%
COM
MYRG
1.22%
COM
MDC
1.21%
COM
STAY
1.2%
UNIT 99/99/9999B
SFNC
1.19%
CL A $1 PAR
BHE
1.19%
COM
GVA
1.16%
COM
MTG
1.15%
COM
OEC
1.15%
COM
TPH
1.14%
COM
JRVR
1.14%
COM
STL
1.14%
COM
ENSG
1.14%
COM
SR
1.12%
COM
KNL
1.11%
COM NEW
CNOB
1.1%
COM
HMST
1.09%
COM
ABCB
1.09%
COM
EE
1.09%
COM NEW
ANIP
1.07%
COM
THS
1.06%
COM
DBI
1.06%
CL A
PRFT
1.06%
COM
CTB
1.05%
COM
DY
1.04%
COM
KAMN
1.03%
COM
IBTX
1.03%
COM
BMTC
1.02%
COM
SBCF
1.02%
COMNEW
WERN
1.02%
COM
RBC
1.02%
COM
JW/A
1.01%
CL A
AIN
1%
CL A
NX
1%
COM
NTCT
1%
COM
KN
1%
COM
SAIA
0.99%
COM
FBNC
0.99%
COM
AUB
0.98%
COM
PRGS
0.98%
COM
ABM
0.98%
COM
PRAA
0.97%
COM
BDN
0.97%
SH BEN INT NEW
BANC
0.95%
COM
ESRT
0.95%
COM
URBN
0.94%
COM
CODI
0.94%
SH BEN INT
FR
0.93%
COM
ATU
0.92%
CL A NEW
CBZ
0.92%
COM
SASR
0.91%
COM
TCBK
0.9%
COM
SP
0.89%
COM
USCR
0.89%
COM NEW
CTT
0.87%
CL A
FORM
0.87%
COM
PRSC
0.86%
COM
MTX
0.86%
COM
VRNT
0.85%
COM
PEB
0.84%
COM
RRGB
0.83%
COM
IPHS
0.82%
COM
TCBI
0.78%
COM
NUVA
0.77%
COM
DRQ
0.77%
COM
FI
0.76%
COM
UMH
0.75%
COM
ASTE
0.75%
COM
UEIC
0.75%
COM
FRME
0.74%
COM
LOCO
0.71%
COM
DOC
0.7%
COM
EFSC
0.69%
COM
IDA
0.67%
COM
GEF
0.66%
CL A
CSFL
0.65%
COM
WGO
0.62%
COM
NP
0.61%
COM
PNFP
0.6%
COM
WLL
0.59%
COM NEW
MDR
0.57%
COM
CRZO
0.56%
COM
PPBI
0.54%
COM
BPFH
0.54%
COM
RTEC
0.52%
COM
BRC
0.51%
CL A
EPC
0.46%
COM
CCRN
0.43%
COM
JCAP
0.4%
COM
MWA
0.4%
COM SER A
LNDC
0.37%
COM
ESTE
0.35%
CL A
HTLD
0.3%
COM
AAPL
0.23%
COM
AAOI
0.23%
COM
BRK.B
0.21%
CL B NEW
HAFC
0.21%
COM NEW
JPM
0.15%
COM
ACGL
0.12%
ORD
TJX
0.11%
COM
WMT
0.11%
COM
JBL
0.11%
COM
COF
0.1%
COM
MSFT
0.09%
COM
WFC
0.09%
COM
KO
0.09%
COM
GOOG
0.09%
CAP STK CL C
AIG
0.09%
COM NEW
LOW
0.08%
COM
ANTM
0.08%
COM
TOL
0.08%
COM
CAT
0.08%
COM
WHR
0.08%
COM
AXTA
0.08%
COM
INTC
0.07%
COM
GOOGL
0.07%
CAP STK CL A
DIS
0.07%
COM DISNEY
ABT
0.07%
COM
ZMH
0.07%
COM
JNJ
0.07%
COM
GS
0.07%
COM
IBM
0.06%
COM
NUE
0.06%
COM
DKS
0.05%
COM
APA
0.04%
COM
CSCO
0.04%
COM
ABBV
0.04%
COM
CVX
0.03%
COM
XEC
0.03%
COM
XOM
0.02%
COM
HAL
0.02%
COM
JEC
0.02%
COM
NOV
0.02%
COM
PWR
0.02%
COM
BIO
0.01%
CL A
AVT
0.01%
COM
SABR
0.01%
COM
LH
0.01%
COM NEW
NCLH
0.01%
SHS
HIG
0.01%
COM
RL
0.01%
CL A
EWBC
0.01%
COM
ON
0.01%
COM
BRX
0.01%
COM
SLM
0.01%
COM
EHC
0.01%
COM
JBLU
0.01%
COM
MKSI
0.01%
COM
ALB
0.01%
COM
EVRG
0.01%
COM
FANG
0.01%
COM
WAL
0.01%
COM
PE
0.01%
CL A
PACW
0.01%
COM
CPT
0.01%
SH BEN INT
HUN
0.01%
COM
JBHT
0.01%
COM
HOLX
0.01%
COM
WLTW
0.01%
SHS
DOX
0.01%
ORD
HRC
0.01%
COM
INGR
0.01%
COM
CE
0.01%
COM SER A
DRE
0.01%
COM NEW
PPG
0.01%
COM
IVZ
0.01%
SHS
TROW
0.01%
COM
DLR
0.01%
COM
PINC
0.01%
CL A
CONE
0.01%
COM
HST
0.01%
COM
NTRS
0.01%
COM
NSC
< 0.01%
COM
PII
< 0.01%
COM
MRK
< 0.01%
COM
AXP
< 0.01%
COM
PG
< 0.01%
COM
UNP
< 0.01%
COM
SLB
< 0.01%
COM
SAFM
1.07%
COM
NAVG
0.95%
COM
UBSH
0.93%
COM
DSW
0.77%
CL A
VSTO
0.28%
COM
KSU
0.11%
COM NEW