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Credo Capital Management, LLC Current Holdings: USA Other Stocks

Credo Capital Management, LLC current holdings: USA Other Stocks

Credo Capital Management, LLC reported $0.01 billion in shares no fund filing gives a ticker for, so this site has no page for them (listed in the US), 66 positions, in its Form 13F for the quarter ended 2013-12-31; the largest are ARRIS Group Inc., Salix Pharmaceuticals Ltd., Delphi Automotive PLC.

  • ARRIS Group Inc.: Country of operation —; Class COM; Shares 18,613; Value $454,000.
  • Salix Pharmaceuticals Ltd.: Country of operation —; Class COM; Shares 4,938; Value $444,000.
  • Delphi Automotive PLC: Country of operation —; Class COM; Shares 7,026; Value $422,000.
  • GNC Holdings Inc.: Country of operation —; Class COM; Shares 7,012; Value $410,000.

Form 13F-HR as filed (SEC CIK 1417758): quarter ended 2013-12-31, filed 2014-01-24. The manager files one row per sub-manager; rows for the same security, class and put/call are added together.

StockCountry of operationClassSharesValueQuarter endFiled
ARRIS Group Inc.
CUSIP 04270V106
COM18,613$454,0002013-12-312014-01-24
Salix Pharmaceuticals Ltd.
CUSIP 795435106
COM4,938$444,0002013-12-312014-01-24
Delphi Automotive PLC
CUSIP G27823106
COM7,026$422,0002013-12-312014-01-24
GNC Holdings Inc.
CUSIP 36191G107
COM7,012$410,0002013-12-312014-01-24
Actavis
CUSIP G0083B108
COM2,403$404,0002013-12-312014-01-24
Harman International Industrie
CUSIP 413086109
COM4,803$393,0002013-12-312014-01-24
Michael Kors Holdings Ltd.
CUSIP G60754101
COM4,812$391,0002013-12-312014-01-24
Conn's Inc.
CUSIP 208242107
United StatesCOM4,955$390,0002013-12-312014-01-24
Pentair Inc.
CUSIP H6169Q108
COM4,926$383,0002013-12-312014-01-24
Vistaprint NV
CUSIP N93540107
COM6,509$370,0002013-12-312014-01-24
Wellcare Health Plans Inc.
CUSIP 94946T106
COM4,899$345,0002013-12-312014-01-24
Ocwen Financial Corp.
CUSIP 675746309
COM5,926$329,0002013-12-312014-01-24
Cree Inc.
CUSIP 225447101
COM5,178$324,0002013-12-312014-01-24
LinkedInc Corp.
CUSIP 53578A108
COM1,462$317,0002013-12-312014-01-24
Total System Services Inc.
CUSIP 891906109
COM9,489$316,0002013-12-312014-01-24
PolyOne Corp.
CUSIP 73179P106
COM8,798$311,0002013-12-312014-01-24
Chicago Bridge & Iron Co.
CUSIP 167250109
COM3,594$299,0002013-12-312014-01-24
Seadrill Ltd.
CUSIP G7945E105
COM7,279$299,0002013-12-312014-01-24
SPX Corp.
CUSIP 784635104
United StatesCOM2,940$293,0002013-12-312014-01-24
Cavium Inc.
CUSIP 14964U108
COM8,067$278,0002013-12-312014-01-24
Con-Way Inc.
CUSIP 205944101
COM6,780$269,0002013-12-312014-01-24
Synchronoss Technologies Inc.
CUSIP 87157B103
COM8,667$269,0002013-12-312014-01-24
Catamaran Corp
CUSIP 148887102
COM5,548$263,0002013-12-312014-01-24
Lam Research Corp.
CUSIP 512807108
United StatesCOM4,703$256,0002013-12-312014-01-24
RealPage Inc.
CUSIP 75606N109
COM10,588$248,0002013-12-312014-01-24
Chico's FAS Inc.
CUSIP 168615102
United StatesCOM12,572$237,0002013-12-312014-01-24
Dunkin' Brands Group Inc.
CUSIP 265504100
COM4,797$231,0002013-12-312014-01-24
Team Health Holdings Inc.
CUSIP 87817A107
COM4,978$227,0002013-12-312014-01-24
Hornbeck Offshore Services Inc
CUSIP 440543106
COM3,947$194,0002013-12-312014-01-24
Google Inc.
CUSIP 38259P508
COM99$111,0002013-12-312014-01-24
Celgene Corp.
CUSIP 151020104
COM317$54,0002013-12-312014-01-24
Dow Chemical Co.
CUSIP 260543103
United StatesCOM1,196$53,0002013-12-312014-01-24
Viacom Inc.
CUSIP 92553P201
COM553$48,0002013-12-312014-01-24
Covidien PLC
CUSIP G2554F113
COM617$42,0002013-12-312014-01-24
Stericycle Inc.
CUSIP 858912108
United StatesCOM333$39,0002013-12-312014-01-24
Maxim Integrated Products Inc.
CUSIP 57772K101
COM1,367$38,0002013-12-312014-01-24
FleetMatics Group PLC
CUSIP G35569105
COM792$34,0002013-12-312014-01-24
On Assignment Inc.
CUSIP 682159108
COM847$30,0002013-12-312014-01-24
The Corporate Executive Board
CUSIP 21988R102
COM387$30,0002013-12-312014-01-24
Medidata Solutions Inc.
CUSIP 58471A105
COM456$28,0002013-12-312014-01-24
The Medicines Co.
CUSIP 584688105
COM724$28,0002013-12-312014-01-24
Monotype Imaging Holdings Inc.
CUSIP 61022P100
COM771$25,0002013-12-312014-01-24
PAREXEL International Corp.
CUSIP 699462107
COM546$25,0002013-12-312014-01-24
Whole Foods Markets Inc.
CUSIP 966837106
COM409$24,0002013-12-312014-01-24
First Cash Financial Services
CUSIP 31942D107
COM348$22,0002013-12-312014-01-24
VCA Antech Inc.
CUSIP 918194101
COM662$21,0002013-12-312014-01-24
Black Diamond Inc.
CUSIP 09202G101
COM1,465$20,0002013-12-312014-01-24
Hibbett Sports Inc.
CUSIP 428567101
United StatesCOM298$20,0002013-12-312014-01-24
Micro Systems Inc.
CUSIP 594901100
COM352$20,0002013-12-312014-01-24
Susser Petroleum Partners LP
CUSIP 869239103
COM608$20,0002013-12-312014-01-24
Wesco Aircraft Holdings Inc.
CUSIP 950814103
COM911$20,0002013-12-312014-01-24
Ann Inc.
CUSIP 035623107
COM493$18,0002013-12-312014-01-24
Susser Holdings Corp.
CUSIP 869233106
COM272$18,0002013-12-312014-01-24
Bonanza Creek Energy Inc.
CUSIP 097793103
COM390$17,0002013-12-312014-01-24
Financial Engines Inc.
CUSIP 317485100
COM250$17,0002013-12-312014-01-24
Krispy Kreme Doughnuts Inc.
CUSIP 501014104
COM844$16,0002013-12-312014-01-24
Advisory Board Co.
CUSIP 00762W107
COM240$15,0002013-12-312014-01-24
Cabela's Inc.
CUSIP 126804301
COM222$15,0002013-12-312014-01-24
Dealertrack Technologies Inc.
CUSIP 242309102
COM322$15,0002013-12-312014-01-24
Interactive Intelligence Group
CUSIP 45841V109
COM227$15,0002013-12-312014-01-24
HomeAway Inc.
CUSIP 43739Q100
COM334$14,0002013-12-312014-01-24
ViroPharma Inc.
CUSIP 928241108
COM274$14,0002013-12-312014-01-24
Genomic Health Inc.
CUSIP 37244C101
COM460$13,0002013-12-312014-01-24
Ultimate Software Group Inc.
CUSIP 90385D107
COM63$10,0002013-12-312014-01-24
Gulfport Energy Corp.
CUSIP 402635304
COM141$9,0002013-12-312014-01-24
athenahealth Inc.
CUSIP 04685W103
COM60$8,0002013-12-312014-01-24

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