Euclidean Technologies Management, LLC - Q3 2022 holdings

$89.2 Million is the total value of Euclidean Technologies Management, LLC's 67 reported holdings in Q3 2022. The portfolio turnover from Q2 2022 to Q3 2022 was 0.0% .

 Value Shares↓ Weighting
CVLG  COVENANT LOGISTICS GROUP INCcl a$2,583,000
+14.4%
90,0000.0%2.90%
+24.2%
HIBB  HIBBETT INC$2,002,000
+13.9%
40,2000.0%2.24%
+23.8%
NWPX  NORTHWEST PIPE CO$1,961,000
-6.1%
69,7730.0%2.20%
+1.9%
CASS  CASS INFORMATION SYS INC$1,943,000
+2.6%
56,0010.0%2.18%
+11.5%
JBSS  SANFILIPPO JOHN B & SON INC$1,920,000
+4.5%
25,3570.0%2.15%
+13.4%
VPG  VISHAY PRECISION GROUP INC$1,919,000
+1.5%
64,8670.0%2.15%
+10.2%
AGX  ARGAN INC$1,743,000
-13.8%
54,1910.0%1.96%
-6.4%
HCKT  HACKETT GROUP INC$1,741,000
-6.6%
98,2390.0%1.95%
+1.4%
CNXN  PC CONNECTION INC$1,738,000
+2.4%
38,5430.0%1.95%
+11.2%
SGU  STAR GROUP L Punit ltd partnr$1,694,000
-11.3%
208,3360.0%1.90%
-3.7%
HZO  MARINEMAX INC$1,675,000
-17.5%
56,2210.0%1.88%
-10.4%
TG  TREDEGAR CORP$1,663,000
-5.6%
176,1990.0%1.86%
+2.5%
HSII  HEIDRICK & STRUGGLES INTL IN$1,640,000
-19.7%
63,1120.0%1.84%
-12.8%
NPK  NATIONAL PRESTO INDS INC$1,635,000
-0.9%
25,1380.0%1.83%
+7.6%
DCO  DUCOMMUN INC DEL$1,562,000
-7.8%
39,3820.0%1.75%
+0.1%
DHX  DHI GROUP INC$1,533,000
+8.3%
284,9640.0%1.72%
+17.6%
MLR  MILLER INDS INC TENN$1,525,000
-6.1%
71,6450.0%1.71%
+2.0%
SWBI  SMITH & WESSON BRANDS INC$1,525,000
-21.0%
147,0940.0%1.71%
-14.2%
MOV  MOVADO GROUP INC$1,486,000
-8.9%
52,7470.0%1.67%
-1.1%
USNA  USANA HEALTH SCIENCES INC$1,320,000
-22.5%
23,5470.0%1.48%
-15.9%
NATR  NATURES SUNSHINE PRODS INC$1,238,000
-22.8%
150,2420.0%1.39%
-16.1%
ESCA  ESCALADE INC$1,101,000
-23.4%
110,6120.0%1.24%
-16.8%
GLDD  GREAT LAKES DREDGE & DOCK CO$1,065,000
-42.2%
140,4610.0%1.19%
-37.2%
ATKR  ATKORE INC$393,000
-6.2%
5,0500.0%0.44%
+1.8%
ABBV  ABBVIE INC$278,000
-12.3%
2,0710.0%0.31%
-4.6%
MLI  MUELLER INDS INC$276,000
+11.3%
4,6510.0%0.31%
+21.1%
IDT  IDT CORPcl b new$248,000
-1.6%
10,0080.0%0.28%
+6.9%
ABC  AMERISOURCEBERGEN CORP$245,000
-4.7%
1,8140.0%0.28%
+3.8%
BCC  BOISE CASCADE CO DEL$236,000
-0.4%
3,9760.0%0.26%
+8.2%
BMY  BRISTOL-MYERS SQUIBB CO$209,000
-7.9%
2,9450.0%0.23%0.0%
AMN  AMN HEALTHCARE SVCS INC$208,000
-3.3%
1,9630.0%0.23%
+5.0%
TGNA  TEGNA INC$201,000
-1.5%
9,7120.0%0.22%
+6.6%
IRWD  IRONWOOD PHARMACEUTICALS INC$191,000
-10.3%
18,4750.0%0.21%
-2.7%
CARS  CARS COM INC$181,000
+22.3%
15,7250.0%0.20%
+32.7%
INVA  INNOVIVA INC$151,000
-21.4%
13,0050.0%0.17%
-14.6%
HDSN  HUDSON TECHNOLOGIES INC$135,000
-2.2%
18,4240.0%0.15%
+5.6%
VTRS  VIATRIS INC$133,000
-18.9%
15,6660.0%0.15%
-11.8%
EAF  GRAFTECH INTL LTD$70,000
-38.6%
16,1860.0%0.08%
-33.1%
QRTEA  QURATE RETAIL INC$47,000
-29.9%
23,3980.0%0.05%
-23.2%
Original filings

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

  • View 13F-HR filed 2022-10-28
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
PC CONNECTION INC38Q1 20232.7%
ENNIS INC28Q1 20232.7%
LEAR CORP26Q2 20212.4%
PREFORMED LINE PRODS CO25Q1 20233.8%
AVNET INC25Q4 20193.8%
HIBBETT SPORTS INC25Q3 20222.2%
BIG LOTS INC23Q2 20193.9%
BED BATH & BEYOND INC23Q4 20193.6%
AMERICAN PUBLIC EDUCATION IN22Q1 20222.3%
Buckle Inc/The22Q4 20224.2%

View Euclidean Technologies Management, LLC's complete holdings history.

Latest filings
TypeFiled
13F-NT2024-05-13
13F-NT2024-02-02
13F-NT2023-11-03
13F-NT2023-08-11
13F-HR2023-04-26
13F-HR2023-01-31
13F-HR2022-10-28
13F-HR2022-07-25
13F-HR2022-04-28
13F-HR2022-02-09

View Euclidean Technologies Management, LLC's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (89172000.0 != 89170000.0)

Export Euclidean Technologies Management, LLC's holdings