Quantinno Capital Management LP - Q4 2020 holdings

$129 Million is the total value of Quantinno Capital Management LP's 330 reported holdings in Q4 2020. The portfolio turnover from Q3 2020 to Q4 2020 was - .

 Value Shares↓ Weighting
DISCA NewDISCOVERY INC$745,00024,745
+100.0%
0.58%
BPOP NewPOPULAR INC$637,00011,309
+100.0%
0.49%
QCOM NewQUALCOMM INC$601,0003,945
+100.0%
0.46%
CRUS NewCIRRUS LOGIC INC$600,0007,302
+100.0%
0.46%
JNPR NewJUNIPER NETWORKS INC$597,00026,531
+100.0%
0.46%
AVNT NewAVIENT CORPORATION$581,00014,426
+100.0%
0.45%
PBH NewPRESTIGE CONSMR HEALTHCARE I$568,00016,282
+100.0%
0.44%
FLWS NewFLWS/1-800 FLOWERScl a$529,00020,346
+100.0%
0.41%
KHC NewKRAFT HEINZ CO$528,00015,230
+100.0%
0.41%
ROIC NewRETAIL OPPORTUNITY INVTS COR$522,00038,980
+100.0%
0.40%
ATGE NewADTALEM GLOBAL ED INC$511,00015,057
+100.0%
0.40%
BWXT NewBWX TECHNOLOGIES INC$476,0007,894
+100.0%
0.37%
SNA NewSNAP ON INC$475,0002,775
+100.0%
0.37%
BHE NewBENCHMARK ELECTRS INC$468,00017,310
+100.0%
0.36%
LSTR NewLANDSTAR SYS INC$463,0003,440
+100.0%
0.36%
HOLX NewHOLOGIC INC$448,0006,157
+100.0%
0.35%
HII NewHUNTINGTON INGALLS INDS INC$432,0002,535
+100.0%
0.33%
NWSA NewNEWS CORP NEWcl a$429,00023,852
+100.0%
0.33%
PRGO NewPERRIGO CO PLC$428,0009,574
+100.0%
0.33%
RBC NewREGAL BELOIT CORP$421,0003,431
+100.0%
0.32%
PPC NewPILGRIMS PRIDE CORP$420,00021,420
+100.0%
0.32%
PFS NewPROVIDENT FINL SVCS INC$419,00023,308
+100.0%
0.32%
SNBR NewSLEEP NUMBER CORP$411,0005,016
+100.0%
0.32%
RTX NewRAYTHEON TECHNOLOGIES CORP$406,0005,674
+100.0%
0.31%
UNFI NewUNITED NAT FOODS INC$393,00024,638
+100.0%
0.30%
DELL NewDELL TECHNOLOGIES INCcl c$389,0005,311
+100.0%
0.30%
IART NewINTEGRA LIFESCIENCES HLDGS C$385,0005,925
+100.0%
0.30%
SNDR NewSCHNEIDER NATIONAL INCcl b$384,00018,565
+100.0%
0.30%
MMS NewMAXIMUS INC$372,0005,088
+100.0%
0.29%
EGOV NewNIC INC$370,00014,312
+100.0%
0.29%
DLTR NewDOLLAR TREE INC$369,0003,419
+100.0%
0.28%
ALLE NewALLEGION PLC$366,0003,147
+100.0%
0.28%
SCI NewSERVICE CORP INTL$355,0007,228
+100.0%
0.27%
BK NewBANK NEW YORK MELLON CORP$349,0008,215
+100.0%
0.27%
TTGT NewTECHTARGET INC$343,0005,811
+100.0%
0.26%
CAH NewCARDINAL HEALTH INC$335,0006,246
+100.0%
0.26%
KNX NewKNIGHT-SWIFT TRANSN HLDGS INcl a$330,0007,884
+100.0%
0.26%
NEOG NewNEOGEN CORP$322,0004,056
+100.0%
0.25%
POR NewPORTLAND GEN ELEC CO$307,0007,178
+100.0%
0.24%
XRX NewXEROX HOLDINGS CORP$305,00013,166
+100.0%
0.24%
WFC NewWELLS FARGO CO NEW$299,0009,892
+100.0%
0.23%
OPI NewOFFICE PPTYS INCOME TR$297,00013,068
+100.0%
0.23%
NWL NewNEWELL BRANDS INC$296,00013,925
+100.0%
0.23%
CYBR NewCYBERARK SOFTWARE LTD$293,0001,812
+100.0%
0.23%
TECH NewBIO-TECHNE CORP$292,000920
+100.0%
0.23%
USNA NewUSANA HEALTH SCIENCES INC$291,0003,779
+100.0%
0.22%
CPB NewCAMPBELL SOUP CO$290,0005,999
+100.0%
0.22%
MAN NewMANPOWERGROUP INC$288,0003,196
+100.0%
0.22%
UE NewURBAN EDGE PPTYS$287,00022,212
+100.0%
0.22%
DXC NewDXC TECHNOLOGY CO$283,00010,987
+100.0%
0.22%
CFG NewCITIZENS FINL GROUP INC$276,0007,727
+100.0%
0.21%
CNMD NewCONMED CORP$265,0002,367
+100.0%
0.20%
OMF NewONEMAIN HLDGS INC$264,0005,490
+100.0%
0.20%
MDU NewMDU RES GROUP INC$261,0009,911
+100.0%
0.20%
DVA NewDAVITA INC$254,0002,164
+100.0%
0.20%
DY NewDYCOM INDS INC$244,0003,226
+100.0%
0.19%
UHAL NewAMERCO$243,000536
+100.0%
0.19%
MATX NewMATSON INC$243,0004,259
+100.0%
0.19%
MCD NewMCDONALDS CORP$243,0001,132
+100.0%
0.19%
AIN NewALBANY INTL CORPcl a$241,0003,280
+100.0%
0.19%
THC NewTENET HEALTHCARE CORP$237,0005,937
+100.0%
0.18%
PSB NewPS BUSINESS PKS INC CALIF$235,0001,768
+100.0%
0.18%
MLI NewMUELLER INDS INC$233,0006,629
+100.0%
0.18%
CBRL NewCRACKER BARREL OLD CTRY STOR$233,0001,766
+100.0%
0.18%
TAP NewMOLSON COORS BEVERAGE COcl b$229,0005,063
+100.0%
0.18%
AVLR NewAVALARA INC$229,0001,388
+100.0%
0.18%
WD NewWALKER & DUNLOP INC$226,0002,455
+100.0%
0.18%
TEAM NewATLASSIAN CORP PLCcl a$224,000958
+100.0%
0.17%
IEX NewIDEX CORP$216,0001,085
+100.0%
0.17%
TGT NewTARGET CORP$215,0001,219
+100.0%
0.17%
ILPT NewINDUSTRIAL LOGISTICS PPTYS T$213,0009,145
+100.0%
0.16%
AZZ NewAZZ INC$213,0004,490
+100.0%
0.16%
NNI NewNELNET INCcl a$209,0002,935
+100.0%
0.16%
ED NewCONSOLIDATED EDISON INC$209,0002,888
+100.0%
0.16%
ASTE NewASTEC INDS INC$207,0003,583
+100.0%
0.16%
HRC NewHILL ROM HLDGS INC$206,0002,100
+100.0%
0.16%
TRS NewTRIMAS CORP$204,0006,453
+100.0%
0.16%
HCA NewHCA HEALTHCARE INC$204,0001,240
+100.0%
0.16%
CRVL NewCORVEL CORP$201,0001,898
+100.0%
0.16%
JBHT NewHUNT J B TRANS SVCS INC$201,0001,469
+100.0%
0.16%
EVRI NewEVERI HLDGS INC$198,00014,358
+100.0%
0.15%
NYCB NewNEW YORK CMNTY BANCORP INC$125,00011,859
+100.0%
0.10%
FBP NewFIRST BANCORP P R$92,00010,004
+100.0%
0.07%
Original filings

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

  • View 13F-HR filed 2021-02-09
Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
MICROSOFT CORP20Q3 20235.0%
THERMO FISHER SCIENTIFIC INC20Q3 20232.1%
CISCO SYS INC20Q3 20230.6%
HERSHEY CO20Q3 20230.7%
WEST PHARMACEUTICAL SVSC INC20Q3 20230.7%
ECOLAB INC20Q3 20230.5%
FLOWERS FOODS INC20Q3 20230.4%
WORKDAY INC20Q3 20230.5%
MARKEL GROUP INC20Q3 20230.4%
HOME DEPOT INC19Q3 20231.1%

View Quantinno Capital Management LP's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-02-14
13F-HR2023-11-14
13F-HR2023-08-04
13F-HR2023-05-03
13F-HR2023-02-13
13F-HR2022-11-08
13F-HR2022-08-15
13F-HR2022-05-12
13F-HR2022-02-14
13F-HR2021-11-15

View Quantinno Capital Management LP's complete filings history.

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