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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
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Growth
0
4
32
0
0
4
0
0
16
MONARCH PARTNERS ASSET MANAGEMENT LLC

Time Period2019-06-30

Total Holdings165

Total Value ($x1000)696,729
Activities
New30

Increased53

Unchanged38

Decreased44

Sold Out36

Top 10 Stock Holdingstotal 19.45%
EBSB2.35

BCO2.27

EXP1.95

KBR1.89

HHC1.88

 
RESI1.87

TROX1.83

ATI1.82

PE1.8

AVA1.79

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
EBSB
2.35%
COM
BCO
2.27%
COM
EXP
1.95%
COM
KBR
1.89%
COM
HHC
1.88%
COM
RESI
1.87%
COM
TROX
1.83%
SHS
ATI
1.82%
COM
PE
1.8%
CL A
AVA
1.79%
COM
AIMC
1.75%
COM
TH
1.74%
COM
WTFC
1.74%
COM
FIBK
1.7%
COM CL A
MTG
1.69%
COM
ENSG
1.69%
COM
ACA
1.68%
COM
PRFT
1.67%
COM
MGRC
1.65%
COM
IDA
1.63%
COM
KNX
1.61%
CL A
LADR
1.6%
CL A
AAT
1.56%
COM
LAUR
1.56%
CL A
NOMD
1.54%
USD ORD SHS
SNV
1.48%
COM NEW
COWN
1.46%
CL A NEW
AUB
1.4%
COM
WAIR
1.38%
COM
XHR
1.37%
COM
VRTU
1.35%
COM
SEAS
1.31%
COM
IBKC
1.29%
COM
INN
1.28%
COM
RH
1.24%
COM
INT
1.21%
COM
NGHC
1.21%
COM
GPMT
1.16%
COM
WNS
1.15%
SPON ADR
HBHC
1.15%
COM
THG
1.12%
COM
DIN
1.1%
COM
UTL
1.08%
COM
NR
1.06%
COM PAR $.01NEW
XOG
1.01%
COM
MPWR
0.98%
COM
CRY
0.98%
COM
MKSI
0.97%
COM
SHOO
0.95%
COM
PNFP
0.94%
COM
ARCH
0.93%
CL A
CTRE
0.93%
COM
RDWR
0.91%
ORD
MOG/A
0.9%
CL A
KEX
0.87%
COM
LIND
0.82%
COM
OGE
0.82%
COM
ISBC
0.82%
COM
MPW
0.81%
COM
PRO
0.81%
COM
KAI
0.74%
COM
WAAS
0.73%
SHS
VOYA
0.72%
COM
HTGC
0.71%
COM
CSFL
0.63%
COM
GMED
0.59%
CL A
ABCB
0.55%
COM
LCII
0.51%
COM
PRSC
0.51%
COM
FLY
0.43%
SPONSORED ADR
STAG
0.4%
COM
STL
0.39%
COM
OLN
0.36%
COM PAR $1
BJ
0.34%
COM
ACGL
0.34%
ORD
INVH
0.32%
COM
JRVR
0.29%
COM
GTY
0.26%
COM
RUSHA
0.26%
CL A
LNT
0.23%
COM
AGII
0.2%
COM
XAN
0.18%
COM NEW
GEC
0.18%
COM NEW
RP
0.18%
COM
SKY
0.18%
COM
IART
0.17%
COM NEW
CNTY
0.16%
COM
PSTL
0.15%
CL A
CNOB
0.15%
COM
CAC
0.15%
COM
OCSL
0.14%
COM
JCAP
0.13%
COM
AJX
0.13%
COM
FBMS
0.12%
COM
CIVB
0.12%
COM NO PAR
MSBI
0.12%
COM
PCYO
0.12%
COM NEW
ERII
0.11%
COM
IESC
0.11%
COM
REPH
0.11%
COM
CLPR
0.11%
COM
APTS
0.11%
COM
ENVA
0.11%
COM
ESXB
0.11%
COM
OLBK
0.11%
COM
MRLN
0.11%
COM
LXFR
0.11%
SHS
IIIV
0.11%
CL A
EVRI
0.1%
COM
RTEC
0.1%
COM
CARO
0.1%
COM
GRBK
0.1%
COM
SPNS
0.1%
SHS
BWB
0.1%
COM ACCD INV
HCCI
0.1%
COM
LRY
0.1%
SH BEN INT
RDNT
0.1%
COM
SIEN
0.1%
COM
TGLS
0.1%
SHS
CHMI
0.1%
COM
MOFG
0.1%
COM
GFN
0.1%
COM
LEGH
0.09%
COM
ACBI
0.09%
COM
LIQT
0.09%
COM
STOR
0.09%
COM
MSEX
0.09%
COM
AMRC
0.09%
CL A
TREC
0.09%
COM
HGR
0.09%
COM NEW
CHRA
0.09%
COM
NDLS
0.08%
CL A
QCRH
0.08%
COM
NRCG
0.08%
COM
MESA
0.08%
COM NEW
STRL
0.08%
COM
SPNE
0.08%
COM
TAST
0.08%
COM
BXC
0.08%
COM NEW
GECC
0.08%
COM
NGS
0.07%
COM
USCR
0.07%
COM NEW
ALJJ
0.07%
COM
KINS
0.07%
COM
ROAD
0.07%
CL A
DCO
0.07%
COM
BOOM
0.06%
COM
MCFT
0.06%
COM
BSTC
0.06%
COM
ICHR
0.06%
SHS
IVC
0.06%
COM
USAP
0.06%
COM
ASC
0.06%
COM
AXAS
0.06%
COM
GLRE
0.05%
CLASS A
EGLE
0.05%
SHS NEW
ATRS
0.05%
COM
SPAR
0.05%
COM
ANIP
0.05%
COM
TNK
0.05%
CL A
LONE
0.05%
CL A VTG
UBNK
0.05%
COM
CIO
0.04%
COM
HIIQ
0.04%
COM CL A
HBIO
0.03%
COM
BC
1.39%
COM
DENN
1.33%
COM
UBSH
1.31%
COM
PUMP
1.21%
COM
PDCE
1.04%
COM
GVA
1.01%
COM
CRL
0.99%
COM
CY
0.96%
COM
ADC
0.77%
COM
POR
0.77%
COM NEW
OMF
0.76%
COM
CPE
0.76%
COM
BERY
0.73%
COM
TBK
0.55%
COM
PK
0.47%
COM
PVH
0.44%
COM
ROCK
0.4%
COM
EGP
0.38%
COM
PACW
0.37%
COM
EXEL
0.37%
COM
MNR
0.25%
CL A
ACC
0.22%
COM
OSK
0.21%
COM
SC
0.2%
COM
AAWW
0.15%
COM NEW
UPLD
0.13%
COM
CCS
0.1%
COM
BPOP
0.1%
COM NEW
BAND
0.1%
CL A
OSW
0.1%
COM
ON
0.09%
COM
ATSG
0.09%
COM
IIPR
0.08%
CL A
AOBC
0.08%
COM
COLL
0.08%
COM
COR
0.05%
COM