Mork Capital Management, LLC - Q1 2020 holdings

$73 Million is the total value of Mork Capital Management, LLC's 94 reported holdings in Q1 2020. The portfolio turnover from Q4 2019 to Q1 2020 was 0.0% .

 Value Shares↓ Weighting
AAPL  APPLE INC$2,238,000
-13.4%
8,8000.0%3.06%
+65.8%
CI  CIGNA CORP NEW$1,772,000
-13.3%
10,0000.0%2.43%
+65.9%
BMY  BRISTOL-MYERS SQUIBB CO$1,672,000
-13.2%
30,0000.0%2.29%
+66.2%
ACU  ACME UTD CORP$1,419,000
-14.8%
70,0000.0%1.94%
+63.1%
TKR  TIMKEN CO$1,294,000
-42.5%
40,0000.0%1.77%
+10.0%
MKSI  MKS INSTRS INC$1,222,000
-25.9%
15,0000.0%1.67%
+41.9%
MET  METLIFE INC$1,162,000
-40.0%
38,0000.0%1.59%
+14.8%
GILD  GILEAD SCIENCES INC$1,121,000
+15.0%
15,0000.0%1.54%
+119.9%
THO  THOR INDS INC$1,097,000
-43.2%
26,0000.0%1.50%
+8.7%
AOSL  ALPHA & OMEGA SEMICONDUCTOR$1,086,000
-52.9%
169,4000.0%1.49%
-9.9%
BWA  BORGWARNER INC$1,082,000
-43.8%
44,4000.0%1.48%
+7.5%
GS  GOLDMAN SACHS GROUP INC$1,082,000
-32.8%
7,0000.0%1.48%
+28.6%
BC  BRUNSWICK CORP$1,061,000
-41.0%
30,0000.0%1.45%
+12.9%
SJM  SMUCKER J M CO$1,055,000
+6.7%
9,5000.0%1.44%
+104.1%
FDX  FEDEX CORP$1,031,000
-19.8%
8,5000.0%1.41%
+53.6%
GM  GENERAL MTRS CO$1,024,000
-43.2%
49,3000.0%1.40%
+8.6%
GOOG  ALPHABET INCcap stk cl c$933,000
-13.0%
8020.0%1.28%
+66.6%
CAH  CARDINAL HEALTH INC$930,000
-5.2%
19,4000.0%1.27%
+81.5%
GOOGL  ALPHABET INCcap stk cl a$930,000
-13.2%
8000.0%1.27%
+66.1%
SPWH  SPORTSMANS WHSE HLDGS INC$924,000
-23.3%
150,0000.0%1.26%
+46.8%
KFY  KORN FERRY$876,000
-42.6%
36,0000.0%1.20%
+9.9%
ON  ON SEMICONDUCTOR CORP$871,000
-49.0%
70,0000.0%1.19%
-2.3%
DAL  DELTA AIR LINES INC DEL$856,000
-51.2%
30,0000.0%1.17%
-6.6%
D  DOMINION ENERGY INC$852,000
-12.8%
11,8000.0%1.17%
+67.0%
ABBV  ABBVIE INC$846,000
-13.9%
11,1000.0%1.16%
+64.9%
IBM  INTERNATIONAL BUSINESS MACHS$821,000
-17.2%
7,4000.0%1.12%
+58.3%
CSCO  CISCO SYS INC$810,000
-18.0%
20,6000.0%1.11%
+56.9%
NFG  NATIONAL FUEL GAS CO N J$791,000
-19.9%
21,2000.0%1.08%
+53.4%
UPS  UNITED PARCEL SERVICE INCcl b$785,000
-20.1%
8,4000.0%1.08%
+52.9%
DISCA  DISCOVERY INC$778,000
-40.6%
40,0000.0%1.07%
+13.8%
CAJ  CANON INCsponsored adr$777,000
-20.9%
35,9000.0%1.06%
+51.4%
WBA  WALGREENS BOOTS ALLIANCE INC$759,000
-22.5%
16,6000.0%1.04%
+48.6%
PCAR  PACCAR INC$758,000
-22.7%
12,4000.0%1.04%
+47.9%
MO  ALTRIA GROUP INC$758,000
-22.5%
19,6000.0%1.04%
+48.3%
RIO  RIO TINTO PLCsponsored adr$752,000
-23.2%
16,5000.0%1.03%
+47.1%
DAN  DANA INCORPORATED$745,000
-57.1%
95,4000.0%1.02%
-17.9%
RILY  B. RILEY FINANCIAL INC$737,000
-26.8%
40,0000.0%1.01%
+40.1%
AVGO  BROADCOM INC$735,000
-25.0%
3,1000.0%1.01%
+43.7%
CRDA  CRAWFORD & COcl a$720,000
-37.2%
100,0000.0%0.99%
+20.1%
TAP  MOLSON COORS BEVERAGE COcl b$710,000
-27.6%
18,2000.0%0.97%
+38.5%
FLEX  FLEX LTDord$709,000
-33.7%
84,7000.0%0.97%
+26.9%
HSBC  HSBC HLDGS PLCspon adr new$703,000
-28.3%
25,1000.0%0.96%
+37.2%
GSIT  GSI TECHNOLOGY$696,000
-1.8%
100,0000.0%0.95%
+88.0%
LEA  LEAR CORP$691,000
-40.7%
8,5000.0%0.95%
+13.4%
IPG  INTERPUBLIC GROUP COS INC$688,000
-29.9%
42,5000.0%0.94%
+34.0%
MSM  MSC INDL DIRECT INCcl a$682,000
-29.9%
12,4000.0%0.93%
+34.2%
NWL  NEWELL BRANDS INC$676,000
-30.9%
50,9000.0%0.93%
+32.3%
ORI  OLD REP INTL CORP$668,000
-31.8%
43,8000.0%0.92%
+30.5%
IVZ  INVESCO LTD$666,000
-49.5%
73,4000.0%0.91%
-3.4%
IP  INTL PAPER CO$663,000
-32.4%
21,3000.0%0.91%
+29.3%
HNI  HNI CORP$655,000
-32.8%
26,0000.0%0.90%
+28.7%
WRK  WESTROCK CO$647,000
-34.2%
22,9000.0%0.89%
+26.0%
MAN  MANPOWERGROUP INC$636,000
-45.4%
12,0000.0%0.87%
+4.6%
HOFT  HOOKER FURNITURE CORP$624,000
-39.3%
40,0000.0%0.86%
+16.3%
EMN  EASTMAN CHEM CO$582,000
-41.3%
12,5000.0%0.80%
+12.4%
LAZ  LAZARD LTD$580,000
-41.0%
24,6000.0%0.79%
+12.9%
COWN  COWEN INCcl a new$580,000
-38.6%
60,0000.0%0.79%
+17.5%
FL  FOOT LOCKER INC$558,000
-43.4%
25,3000.0%0.76%
+8.4%
GBX  GREENBRIER COS INC$550,000
-45.3%
31,0000.0%0.75%
+4.7%
CNR  CORNERSTONE BLDG BRANDS INC$547,000
-46.4%
120,0000.0%0.75%
+2.6%
PAG  PENSKE AUTOMOTIVE GRP INC$546,000
-44.2%
19,5000.0%0.75%
+6.9%
AEG  AEGON N V NY REGISTRY$540,000
-45.0%
216,8000.0%0.74%
+5.3%
RDSB  ROYAL DUTCH SHELL PLCspon adr b$536,000
-45.5%
16,4000.0%0.73%
+4.3%
DOW  DOW INC$529,000
-46.6%
18,1000.0%0.72%
+2.3%
LYB  LYONDELLBASELL INDUSTRIES N$516,000
-47.5%
10,4000.0%0.71%
+0.6%
F  FORD MTR CO DEL$509,000
-48.1%
105,4000.0%0.70%
-0.6%
HOG  HARLEY DAVIDSON INC$494,000
-49.1%
26,1000.0%0.68%
-2.6%
TPR  TAPESTRY INC$478,000
-52.0%
36,9000.0%0.66%
-8.0%
COTY  COTY INC$456,000
-54.2%
88,4000.0%0.62%
-12.2%
TILE  INTERFACE INC$454,000
-54.4%
60,0000.0%0.62%
-12.6%
MTOR  MERITOR INC$398,000
-49.4%
30,0000.0%0.54%
-3.0%
IGT  INTERNATIONAL GAME TECHNOLOG$395,000
-60.3%
66,4000.0%0.54%
-23.9%
UTHR  UNITED THERAPEUTICS CORP DEL$389,000
+7.8%
4,1000.0%0.53%
+106.6%
GT  GOODYEAR TIRE & RUBR CO$372,000
-62.6%
63,9000.0%0.51%
-28.4%
MRLN  MARLIN BUSINESS SVCS CORP$369,000
-49.1%
33,0000.0%0.50%
-2.7%
AXL  AMERICAN AXLE & MFG HLDGS IN$265,000
-66.5%
73,5000.0%0.36%
-35.9%
CCL  CARNIVAL CORPunit 99/99/9999$253,000
-74.1%
19,2000.0%0.35%
-50.3%
USAK  USA TRUCK INC$222,000
-57.5%
70,0000.0%0.30%
-18.5%
Original filings

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

  • View 13F-HR filed 2020-05-15
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
AIR LEASE CORPORATION CL A36Q3 20232.7%
APPLE INC36Q3 20233.1%
FEDEX CORP36Q3 20232.9%
ALPHA & OMEGA SEMICONDUCTOR36Q3 20233.2%
METLIFE INC36Q3 20231.7%
ACME UTD CORP36Q3 20232.3%
INTL BUSINESS MACHINES CORP36Q3 20231.7%
LYONDELLBASELL INDUSTRIES N36Q3 20231.1%
UNITED THERAPEUTICS CORP DEL36Q3 20231.2%
GENERAL MTRS CO34Q3 20231.8%

View Mork Capital Management, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-02-14
SC 13D/A2024-01-23
SC 13D/A2023-11-17
13F-HR2023-11-13
13F-HR2023-08-11
13F-HR2023-05-12
13F-HR2023-02-14
SC 13D/A2023-01-20
13F-HR2022-11-14
13F-HR2022-08-15

View Mork Capital Management, LLC's complete filings history.

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