Find Institutional Investor
Institutional Investor
Browse Institutional Investors
Time Period
Activity
Security Type
Top Percentile
?
Use this filter to see holdings within a selected percentile portfolio.

For example, click 10 to show only holdings in the top 10 percentile.

100908070605040302010%
Sectors
?
Use the pull down list to add one or more sectors to the space below and click Apply to filter out the holdings that belong to your selected sector(s).
 
Stock Style
?
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.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
0
2
25
0
0
2
0
1
8
SKYLINE ASSET MANAGEMENT LP

Time Period2019-03-31

Total Holdings59

Total Value ($x1000)588,084
Activities
New3

Increased1

Unchanged0

Decreased55

Sold Out6

Top 10 Stock Holdingstotal 22.78%
PLCE2.52

TRS2.49

AAN2.48

FOE2.29

BC2.26

 
DIN2.21

BXS2.19

KN2.14

RGA2.12

BUSE2.08

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
PLCE
2.52%
COM
TRS
2.49%
COM NEW
AAN
2.48%
COM PAR $0.50
FOE
2.29%
COM
BC
2.26%
COM
DIN
2.21%
COM
BXS
2.19%
COM
KN
2.14%
COM
RGA
2.12%
COM NEW
BUSE
2.08%
COM NEW
OCFC
2.07%
COM
ROCK
2.06%
COM
ESNT
2%
COM
FMBI
1.98%
COM
RXN
1.92%
COM
STCK
1.9%
COM
LCII
1.88%
COM
SANM
1.86%
COM
BHE
1.84%
COM
PRFT
1.82%
COM
BECN
1.81%
COM
KNL
1.81%
COM NEW
STL
1.79%
COM
WBT
1.78%
COM
CMCO
1.77%
COM
SPW
1.75%
COM
AXE
1.74%
COM
DNOW
1.73%
COM
UMBF
1.72%
COM
WSFS
1.71%
COM
OEC
1.7%
COM
PBH
1.7%
COM
AMWD
1.67%
COM
EFII
1.67%
COM
NPO
1.66%
COM
MTX
1.65%
COM
UMPQ
1.64%
COM
KMPR
1.58%
COM
R
1.57%
COM
VRTU
1.57%
COM
JELD
1.55%
COM
NCR
1.54%
COM
GVA
1.54%
COM
CMP
1.43%
COM
MAN
1.38%
COM
AHS
1.35%
COM
WNS
1.34%
SPON ADR
ZBRA
1.32%
CL A
ACHC
1.28%
COM
WGO
1.26%
COM
NP
1.22%
COM
DLX
1.2%
COM
BERY
1.16%
COM
PLT
1.15%
COM
JHG
1.15%
ORD SHS
BANC
1.09%
COM
SIMO
1.08%
SPONSORED ADR
KFY
0.96%
COM NEW
RLGY
0.84%
COM
CBZ
1.43%
COM
GIL
1.42%
COM
VSM
1.41%
COM
ENSG
0.95%
COM
GLT
0.75%
COM
CCRN
0.32%
COM