Lapides Asset Management, LLC - Q1 2021 holdings

$239 Million is the total value of Lapides Asset Management, LLC's 74 reported holdings in Q1 2021. The portfolio turnover from Q4 2020 to Q1 2021 was 11.8% .

 Value Shares↓ Weighting
XPER SellXPERI HOLDING CORP COM$9,100,000
-43.4%
418,026
-45.7%
3.81%
-45.0%
WRK SellWestRock Company$9,031,000
+0.4%
173,500
-16.0%
3.78%
-2.3%
HMHC SellHoughton Mifflin Harcourt Comp$8,534,000
+80.3%
1,119,900
-21.2%
3.57%
+75.5%
VRNT SellVerint Systems Inc.$7,533,000
-33.7%
165,600
-2.1%
3.15%
-35.5%
HBI SellHanesbrands Inc.$7,490,000
+3.3%
380,800
-23.5%
3.13%
+0.5%
SUM SellSummit Materials, Inc.$7,346,000
+2.2%
262,166
-26.7%
3.07%
-0.5%
ANGO SellAngioDynamics, Inc.$7,186,000
+5.0%
307,100
-31.2%
3.01%
+2.2%
NLSN SellNielsen Holdings PLC$7,145,000
-18.8%
284,100
-32.6%
2.99%
-20.9%
ATGE SellAdtalem Global Ed Inc$6,595,000
+11.6%
166,800
-4.2%
2.76%
+8.6%
SFM SellSprouts Farmers Market, Inc.$6,328,000
+23.4%
237,700
-6.8%
2.65%
+20.1%
EEFT SellEuronet Worldwide Inc$5,684,000
-9.6%
41,100
-5.3%
2.38%
-12.1%
NCR SellNCR Corporation$5,593,000
-28.4%
147,380
-29.1%
2.34%
-30.3%
HUN SellHuntsman Corporation$5,117,000
-19.0%
177,500
-29.4%
2.14%
-21.2%
TDC SellTeradata Corporation$4,806,000
+11.4%
124,700
-35.1%
2.01%
+8.4%
AVD SellAmerican Vanguard Corporation$4,764,000
+15.7%
233,400
-12.0%
1.99%
+12.7%
COMM SellCommScope Holding Company, Inc$4,631,000
+7.3%
301,500
-6.4%
1.94%
+4.4%
ARW SellArrow Electronics Inc$4,555,000
-3.7%
41,100
-15.4%
1.90%
-6.3%
MTX SellMinerals Technologies Inc.$4,263,000
-27.1%
56,600
-39.9%
1.78%
-29.0%
CMP SellCompass Minerals International$3,882,000
-30.2%
61,900
-31.3%
1.62%
-32.1%
ARAY SellAccuray Incorporated$3,862,000
+15.1%
780,200
-3.0%
1.62%
+12.1%
MG SellMistras Group, Inc.$3,816,000
+7.5%
334,400
-26.9%
1.60%
+4.7%
XRAY SellDENTSPLY SIRONA Inc.$3,433,000
+6.6%
53,800
-12.5%
1.44%
+3.8%
BDC SellBelden Inc.$3,032,000
-43.3%
68,342
-46.5%
1.27%
-44.8%
KN SellKnowles Corporation$2,818,000
-27.6%
134,700
-36.3%
1.18%
-29.6%
UEIC SellUniversal Electronics Inc.$2,595,000
-26.9%
47,200
-30.3%
1.09%
-28.9%
IMAX SellIMAX Corporation$2,575,000
-11.8%
128,100
-20.9%
1.08%
-14.2%
SEE SellSealed Air Corp$2,566,000
-16.0%
56,000
-16.0%
1.07%
-18.3%
ESI SellElement Solutions Inc$2,513,000
-9.7%
137,400
-12.5%
1.05%
-12.2%
INGR SellIngredion Incorporated$2,329,000
-5.4%
25,900
-17.3%
0.97%
-7.9%
ST SellSensata Technologies Hldng Plc$2,167,000
-19.7%
37,400
-27.0%
0.91%
-21.9%
CALX SellCalix, Inc.$2,142,000
-52.7%
61,800
-59.4%
0.90%
-53.9%
NXST SellNexstar Media Group, Inc.$2,120,000
-8.0%
15,100
-28.4%
0.89%
-10.4%
FTI SellTechnipfmc PLC$2,033,000
-34.5%
263,300
-20.2%
0.85%
-36.2%
TTEK SellTetra Tech, Inc.$1,982,000
-28.4%
14,600
-38.9%
0.83%
-30.3%
LEVI SellLevi Strauss & Co Cl A Stock$1,968,000
-48.5%
82,300
-56.8%
0.82%
-49.9%
SSP SellScripps E W Co Ohio Cl A$1,948,000
-30.7%
101,100
-45.0%
0.82%
-32.5%
GIL SellGildan Activewear Inc.$1,941,000
-3.5%
63,300
-11.8%
0.81%
-6.0%
NGVT SellIngevity Corp$1,790,000
-5.8%
23,700
-5.6%
0.75%
-8.3%
CE SellCelanese Corporation$1,243,000
+4.0%
8,300
-9.8%
0.52%
+1.2%
THS SellTreehouse Foods Inc$684,000
-63.5%
13,100
-70.3%
0.29%
-64.5%
SMED SellSharps Compliance Corp.$658,000
+1.4%
45,800
-33.3%
0.28%
-1.4%
OLN SellOlin Corp$505,000
+6.5%
13,300
-31.1%
0.21%
+3.4%
DBD SellDiebold Nixdorf Inc.$377,000
+19.3%
26,700
-9.8%
0.16%
+16.2%
PFIE SellProfire Energy Inc$225,000
-11.1%
204,600
-31.0%
0.09%
-13.8%
ALOT SellAstronova Inc$186,000
+4.5%
13,900
-16.8%
0.08%
+1.3%
TXT ExitTextron Inc$0-12,200
-100.0%
-0.25%
POLY ExitPlantronics, Inc.$0-35,100
-100.0%
-0.41%
KMT ExitKennametal Inc$0-42,700
-100.0%
-0.66%
GRA ExitGrace W R & Co$0-28,800
-100.0%
-0.68%
KRA ExitKraton Corporation$0-70,900
-100.0%
-0.85%
PBH ExitPrestige Consumer Healthcare I$0-72,200
-100.0%
-1.08%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2021-05-03
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
VERINT SYSTEMS INC41Q2 20235.3%
Accuray Incorporated41Q2 20233.8%
FMC Corporation41Q2 20232.7%
TETRA TECH INC41Q2 20231.7%
Ball Corporation41Q2 20232.0%
ANGIODYNAMICS INC40Q2 20233.0%
NCR Corporation39Q2 20234.3%
MINERALS TECHNOLOGIES INC38Q3 20224.6%
Huntsman Corporation37Q2 20234.8%
American Vanguard Corporation36Q2 20234.6%

View Lapides Asset Management, LLC's complete holdings history.

Latest significant ownerships (13-D/G)
Lapides Asset Management, LLC Q1 2021 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
TRINITY BIOTECH PLCDecember 10, 20181,113,9004.6%
CALIX, INCNovember 21, 20182,625,9004.9%
TRANSACT TECHNOLOGIES INCFebruary 10, 2016108,9002.3%
Hill International, Inc.February 10, 20151,627,1003.2%
ACCURAY INCFebruary 10, 20143,109,4004.2%
CHECKPOINT SYSTEMS INCFebruary 10, 20141,376,1003.3%
LEARNING TREE INTERNATIONAL INCSold outOctober 09, 201207.3%
TREX CO INCSold outJanuary 20, 200900.0%

View Lapides Asset Management, LLC's complete significant-ownership history.

Latest filings
TypeFiled
13F-HR2023-08-04
13F-HR2023-04-27
13F-HR2023-01-27
13F-HR2022-10-27
13F-HR2022-08-02
13F-HR2022-04-28
13F-HR2022-01-31
13F-HR2021-10-27
13F-HR2021-07-26
13F-HR2021-05-03

View Lapides Asset Management, LLC's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (239050000.0 != 239049000.0)

Export Lapides Asset Management, LLC's holdings