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Lapides Asset Management, LLC Current Holdings: USA Other Stocks

Lapides Asset Management, LLC current holdings: USA Other Stocks

Lapides Asset Management, LLC reported $0.20 billion in shares no fund filing gives a ticker for, so this site has no page for them (listed in the US), 33 positions, in its Form 13F for the quarter ended 2016-09-30; the largest are Harman Intl Industries Inc, Westrock Co, VeriFone Systems Inc.

  • Harman Intl Industries Inc: Country of operation —; Class com; Shares 302,000; Value $25,504,000.
  • Westrock Co: Country of operation United States; Class com; Shares 478,700; Value $23,207,000.
  • VeriFone Systems Inc: Country of operation —; Class com; Shares 1,367,700; Value $21,528,000.
  • Houghton Mifflin Harcourt Co: Country of operation —; Class com; Shares 1,369,200; Value $18,361,000.

Form 13F-HR as filed (SEC CIK 1357993): quarter ended 2016-09-30, filed 2016-11-08. The manager files one row per sub-manager; rows for the same security, class and put/call are added together.

StockCountry of operationClassSharesValueQuarter endFiled
Harman Intl Industries Inc
CUSIP 413086109
com302,000$25,504,0002016-09-302016-11-08
Westrock Co
CUSIP 96145D105
United Statescom478,700$23,207,0002016-09-302016-11-08
VeriFone Systems Inc
CUSIP 92342Y109
com1,367,700$21,528,0002016-09-302016-11-08
Houghton Mifflin Harcourt Co
CUSIP 44157R109
com1,369,200$18,361,0002016-09-302016-11-08
Harsco Corp
CUSIP 415864107
United Statescom1,432,800$14,228,0002016-09-302016-11-08
Kraton Performance Polymers
CUSIP 50077C106
com303,700$10,642,0002016-09-302016-11-08
Tronox Ltd Cl A
CUSIP Q9235V101
com860,300$8,061,0002016-09-302016-11-08
Mobile Mini Inc
CUSIP 60740F105
com229,200$6,922,0002016-09-302016-11-08
Aarons Inc
CUSIP 002535300
com208,900$5,310,0002016-09-302016-11-08
MoneyGram Intl Inc
CUSIP 60935Y208
com710,200$5,042,0002016-09-302016-11-08
Nutri Systems Inc
CUSIP 67069D108
com166,800$4,952,0002016-09-302016-11-08
Circor Intl Inc
CUSIP 17273K109
United Statescom76,700$4,568,0002016-09-302016-11-08
Diebold Inc
CUSIP 253651103
com168,400$4,175,0002016-09-302016-11-08
Cree Inc
CUSIP 225447101
com158,300$4,071,0002016-09-302016-11-08
DTS Inc
CUSIP 23335C101
com91,000$3,871,0002016-09-302016-11-08
Plantronics Inc
CUSIP 727493108
com73,900$3,840,0002016-09-302016-11-08
Core Laboratories NV
CUSIP N22717107
com31,300$3,516,0002016-09-302016-11-08
CardTronics PLC Cl A
CUSIP G1991C105
com76,100$3,394,0002016-09-302016-11-08
Web Com Group Inc
CUSIP 94733A104
com187,600$3,240,0002016-09-302016-11-08
Hill International Inc
CUSIP 431466101
com636,900$2,936,0002016-09-302016-11-08
Jacobs Engineering Group Inc
CUSIP 469814107
com50,800$2,627,0002016-09-302016-11-08
Ciber Inc
CUSIP 17163B102
com2,148,900$2,471,0002016-09-302016-11-08
Syneron Medical Ltd
CUSIP M87245102
com326,800$2,340,0002016-09-302016-11-08
Platform Specialty Products Co
CUSIP 72766Q105
com287,300$2,330,0002016-09-302016-11-08
Landauer Inc
CUSIP 51476K103
com38,300$1,704,0002016-09-302016-11-08
Evolving Systems Inc
CUSIP 30049R209
com358,200$1,558,0002016-09-302016-11-08
K12 Inc
CUSIP 48273U102
com108,200$1,553,0002016-09-302016-11-08
Stericycle Inc
CUSIP 858912108
United Statescom18,400$1,475,0002016-09-302016-11-08
Exa Corp
CUSIP 300614500
com70,900$1,138,0002016-09-302016-11-08
Monotype Imaging Holdings Inc
CUSIP 61022P100
com42,400$937,0002016-09-302016-11-08
Staples Inc
CUSIP 855030102
com12,300$105,0002016-09-302016-11-08
Fortress Investment Group LLC
CUSIP 34958B106
com18,500$91,0002016-09-302016-11-08
Israel Chemicals Ltd
CUSIP M5920A109
com23,000$90,0002016-09-302016-11-08

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