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HedgeMind.com
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Institutional Portfolios
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INVESTMENT MANAGEMENT OF VIRGINIA LLC
> 2018-12-31
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Time Period
2018-12-31
2018-09-30
2018-06-30
2018-03-31
2017-12-31
2017-09-30
2017-06-30
2017-03-31
2016-12-31
2016-09-30
2016-06-30
2016-03-31
2015-12-31
2015-09-30
2015-06-30
2015-03-31
Activity
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Unchanged
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Fixed Income
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Stock Style
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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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45
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8
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17
INVESTMENT MANAGEMENT OF VIRGINIA LLC
Time Period
2018-12-31
Total Holdings
150
Total Value
($x1000)
384,781
Activities
New
8
Increased
49
Unchanged
16
Decreased
77
Sold Out
8
Top 10 Stock Holdings
total 28.08%
DDD
5.54
LMNX
5.46
EPAY
2.48
IBKC
2.35
QDEL
2.26
 
ABT
2.22
WFC
2.06
FAST
1.94
ACIA
1.91
KVHI
1.86
-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
Portfolio Weight (%)
Growth or Value
Position Value
Change Rate
Sector
A-Z
Graph
DDD
5.54%
COM NEW
LMNX
5.46%
COM
EPAY
2.48%
COM
IBKC
2.35%
COM
QDEL
2.26%
COM
ABT
2.22%
COM
WFC
2.06%
COM
FAST
1.94%
COM
ACIA
1.91%
COM
KVHI
1.86%
COM
ABBV
1.78%
COM
AGX
1.73%
COM
PRAA
1.68%
COM
TROW
1.68%
COM
MDC
1.63%
COM
MSFT
1.62%
COM
STMP
1.54%
COM NEW
INTC
1.54%
COM
CSCO
1.48%
COM
BWXT
1.43%
COM
OCSL
1.38%
COM
GNTX
1.38%
COM
AXP
1.33%
COM
MDR
1.29%
COM
CVS
1.26%
COM
PG
1.05%
COM
CVX
1.05%
COM
XOM
1.01%
COM
ALB
1.01%
COM
NSC
0.98%
COM
PEP
0.95%
COM
JPM
0.95%
COM
JNJ
0.92%
COM
TMO
0.9%
COM
PFE
0.9%
COM
BDX
0.86%
COM
RDS/A
0.85%
SPONS ADR A
MRK
0.84%
COM
V
0.84%
COM CL A
T
0.8%
COM
MCHP
0.78%
COM
ADP
0.76%
COM
DHR
0.73%
COM
MMM
0.69%
COM
UTX
0.69%
COM
TOT
0.69%
SPONSORED ADR
CMCSA
0.68%
CL A
CAT
0.67%
COM
KMI
0.66%
COM
BMY
0.64%
COM
BBT
0.63%
COM
IBB
0.63%
NASDQ BIOTEC ETF
NBL
0.58%
COM
WBA
0.58%
COM
AMOT
0.57%
COM
BABY
0.57%
COM
UPS
0.57%
CL B
OSPN
0.56%
COM
MA
0.55%
CL A
DWDP
0.55%
COM
IBM
0.54%
COM
TRV
0.54%
COM
BLK
0.53%
COM
MOS
0.53%
COM
EOG
0.52%
COM
LOW
0.48%
COM
USB
0.48%
COM NEW
OIH
0.45%
OIL SVCS ETF
DUK
0.44%
COM NEW
HD
0.44%
COM
COST
0.44%
COM
AVGO
0.42%
COM
SLB
0.42%
COM
WAT
0.42%
COM
AAPL
0.41%
COM
GDOT
0.41%
CL A
UNP
0.41%
COM
EMR
0.41%
COM
GLW
0.4%
COM
BRK.B
0.4%
CL B NEW
RHI
0.39%
COM
WEC
0.38%
COM
ED
0.37%
COM
QCOM
0.36%
COM
BAC
0.36%
COM
HBAN
0.36%
COM
AEP
0.35%
COM
APC
0.35%
COM
LLY
0.34%
COM
ADI
0.34%
COM
XBI
0.32%
S&P BIOTECH
PGR
0.3%
COM
SNA
0.3%
COM
BR
0.3%
COM
KHC
0.29%
COM
HAL
0.26%
COM
LEN
0.26%
CL A
PBH
0.25%
COM
HON
0.25%
COM
RY
0.25%
COM
UIHC
0.25%
COM
WMS
0.25%
COM
PKI
0.24%
COM
ETN
0.23%
SHS
ULTA
0.23%
COM
MO
0.22%
COM
PCYG
0.21%
COM NEW
AMC
0.21%
CL A COM
CTO
0.21%
COM
ECHO
0.21%
COM
SCHW
0.21%
COM
KO
0.2%
COM
CTSH
0.19%
CL A
TSN
0.19%
CL A
UBSH
0.19%
COM
TRS
0.19%
COM NEW
PYPL
0.18%
COM
CELG
0.18%
COM
AMWD
0.18%
COM
PM
0.17%
COM
SNHY
0.17%
COM
D
0.17%
COM
ALEX
0.17%
COM
NEU
0.16%
COM
LSCC
0.15%
COM
PXD
0.14%
COM
ALXN
0.14%
COM
DIA
0.13%
UT SER 1
CSX
0.12%
COM
MPW
0.11%
COM
FDX
0.11%
COM
CCRN
0.11%
COM
MDLZ
0.1%
CL A
VZ
0.09%
COM
COF
0.08%
COM
BA
0.08%
COM
DDD
0.08%
CALL
OMN
0.08%
COM
ASPS
0.08%
REG SHS
UDR
0.07%
COM
RPM
0.07%
COM
VIG
0.07%
DIV APP ETF
SO
0.07%
COM
HDSN
0.07%
COM
LMNX
0.06%
CALL
PAYX
0.06%
COM
ANTM
0.05%
COM
GSAT
0.03%
COM
SIGA
0.02%
COM
CIK
0.01%
COM
XLU
0.43%
SBI INT-UTILS
FET
0.29%
COM
SAP
0.28%
SPON ADR
KN
0.24%
COM
GCI
0.22%
COM
GE
0.2%
COM
TPL
0.06%
SUB CTF PROP I T
DSW
0.05%
CL A