KNOTT DAVID M - Q4 2018 holdings

$213 Million is the total value of KNOTT DAVID M's 133 reported holdings in Q4 2018. The portfolio turnover from Q3 2018 to Q4 2018 was 0.0% .

 Value Shares↓ Weighting
LGND  Ligand Pharmaceuticals Incorporated$46,686,000
-50.6%
344,0410.0%21.94%
-28.4%
ORCL  Oracle Corporation$6,773,000
-12.4%
150,0000.0%3.18%
+26.9%
MIC  Macquarie Infrastructure Corporation$6,431,000
-20.7%
175,9000.0%3.02%
+14.8%
IRDM  Iridium Communications, Inc.$5,196,000
-18.0%
281,6000.0%2.44%
+18.8%
AOBC  American Outdoor Brands Corporation$4,244,000
-17.2%
330,0000.0%1.99%
+19.9%
LOW  Lowe's Companies Inc.$4,156,000
-19.6%
45,0000.0%1.95%
+16.5%
AAPL  Apple Inc.$3,952,000
-30.1%
25,0500.0%1.86%
+1.2%
DAL  Delta Air Lines, Inc.$2,869,000
-13.7%
57,5000.0%1.35%
+24.9%
JPM  JP Morgan & Chase$2,250,000
-13.5%
23,0500.0%1.06%
+25.2%
 Intec Pharma Ltd.$2,137,000
+33.4%
283,4730.0%1.00%
+93.1%
DWDP  DowDupont Inc.$2,013,000
-16.8%
37,6440.0%0.95%
+20.5%
CHCT  Community Healthcare Trust Incorporated$1,730,000
-6.9%
60,0000.0%0.81%
+34.8%
HZNP  Horizon Pharma Public Limited Company$1,439,000
-0.2%
73,6400.0%0.68%
+44.4%
AB  AllianceBernstein Holdings LP Unit Ltd.$1,380,000
-10.3%
50,5000.0%0.65%
+29.9%
CXW  CoreCivic, Inc.$1,337,000
-26.7%
75,0000.0%0.63%
+6.1%
XENE  Xenon Pharmaceuticals Inc.$1,094,000
-52.2%
173,3900.0%0.51%
-30.8%
VZ  Verizon Communications Inc.$1,029,000
+5.3%
18,3110.0%0.48%
+52.7%
QTNT  Quotient Limited$1,022,000
-19.0%
167,0000.0%0.48%
+17.4%
ZGNX  Zogenix, Inc.$949,000
-26.5%
26,0390.0%0.45%
+6.4%
JNJ  Johnson & Johnson$940,000
-6.6%
7,2800.0%0.44%
+35.6%
GMREPRA  Global Medical REIT, Inc. Ser A Cum Pfd.$857,000
-2.5%
35,0000.0%0.40%
+41.4%
RHP  Ryman Hospitality Ppty Inc.$827,000
-22.6%
12,4000.0%0.39%
+12.4%
CNQ  Canadian Natural Resources Inc.$781,000
-26.0%
32,3500.0%0.37%
+7.0%
KMB  Kimberly Clark Corporation$684,000
+0.3%
6,0000.0%0.32%
+45.2%
MDLZ  Mondelez Int'l Inc.$636,000
-6.9%
15,9000.0%0.30%
+34.7%
KO  Coco Cola$635,000
+2.6%
13,4000.0%0.30%
+48.3%
T  AT&T Inc.$630,000
-15.0%
22,0500.0%0.30%
+23.3%
HPT  Hospitality Properties Trust$597,000
-17.2%
25,0000.0%0.28%
+20.1%
EPRT  Essential Properties Realty Trust, Inc.$554,000
-2.5%
40,0000.0%0.26%
+41.3%
IBM  International Business Machines$487,000
-24.8%
4,2840.0%0.23%
+9.0%
WPC  WP Carey$392,000
+1.6%
6,0000.0%0.18%
+47.2%
KHC  The Kraft Heinz Company$383,000
-21.8%
8,9000.0%0.18%
+13.2%
CHRS  Coherus Biosciences, Inc.$365,000
-45.2%
40,3690.0%0.17%
-20.4%
CLBK  Columbia Financial Inc.$357,000
-8.5%
23,3630.0%0.17%
+32.3%
TTE  Total SA$274,000
-19.2%
5,2600.0%0.13%
+17.3%
CAG  Conagra Brands$214,000
-37.1%
10,0000.0%0.10%
-8.2%
ENFC  Entegra Financial Corporation$212,000
-22.1%
10,2500.0%0.10%
+13.6%
GM  General Motors$167,000
-0.6%
5,0000.0%0.08%
+41.8%
HRGG  Heritage NOLA Bancorp Inc.$153,000
+1.3%
12,0000.0%0.07%
+46.9%
CSFL  Centerstate Banks Corp$146,000
-25.1%
6,9420.0%0.07%
+9.5%
MSFT  Microsoft Corporation$143,000
-10.6%
1,4000.0%0.07%
+28.8%
ORIT  Oritani Financial Corp$116,000
-4.1%
7,8000.0%0.06%
+41.0%
BMY  Bristol-Myers Squibb Company$116,000
-15.9%
2,2250.0%0.06%
+22.2%
CUZ  Cousins Properties$106,000
-10.9%
13,4280.0%0.05%
+28.2%
 Merck & Co. Inc.$99,000
+7.6%
1,3000.0%0.05%
+56.7%
MDT  Medtronics Inc.$96,000
-6.8%
1,0500.0%0.04%
+36.4%
FNB  FNB Corporation$88,000
-22.1%
8,9050.0%0.04%
+10.8%
VIVE  Viveve Medical, Inc.$67,000
-60.6%
63,4490.0%0.03%
-43.6%
CC  Chemours Co.$38,000
-28.3%
1,3600.0%0.02%
+5.9%
F  Ford Motor Company$38,000
-17.4%
5,0000.0%0.02%
+20.0%
ALNY  Alnylam Pharmaceuticals, Inc.$36,000
-18.2%
5000.0%0.02%
+21.4%
LLY  Eli Lilly Inc.$35,000
+9.4%
3000.0%0.02%
+60.0%
BNS  Bank Nova Scotia Halifax$20,000
-16.7%
4000.0%0.01%
+12.5%
EXP  Eagle Materials$14,000
-26.3%
2280.0%0.01%
+16.7%
STWD  Starwood Ppty$8,000
-11.1%
4000.0%0.00%
+33.3%
CLNS  Colony Northstar Inc.$7,000
-22.2%
1,4660.0%0.00%0.0%
AMLP  Alerian MLP$5,0000.0%6000.0%0.00%0.0%
OZM  Och-Ziff Capital Management Group$2,000
-33.3%
2,0000.0%0.00%0.0%
RMR  RMR Group Inc.$1,0000.0%160.0%0.00%
Other managers

Other managers that, in addition to the filing manager(s), that filed the EDGAR filing(s):

Original filings

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

  • View 13F-HR filed 2019-02-12
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Ligand Pharmaceuticals Incorporated34Q3 202152.6%
Pfizer Inc.34Q3 202117.4%
Capitol Federal S&L34Q3 20215.7%
JP Morgan Chase& Co.34Q3 20211.3%
Apple Inc.34Q3 20212.1%
Microsoft Corporation34Q3 20212.3%
AllianceBernstein Holdings PL Unit Ltd.34Q3 20210.9%
Johnson & Johnson34Q3 20210.6%
Mondelez Int'lt Inc.34Q3 20210.5%
Ryman Hospitality PPTYS Inc.34Q3 20210.4%

View KNOTT DAVID M's complete holdings history.

Latest significant ownerships (13-D/G)
KNOTT DAVID M Q4 2018 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
LIGAND PHARMACEUTICALS INCFebruary 13, 2018865,5004.1%
Rand Logistics, Inc.November 15, 20171,432,6607.2%
Essex Rental Corp.August 16, 20131,124,4724.5%
Westway Group, Inc.February 01, 2013? ?
FutureFuel Corp.February 01, 20121,838,0004.5%
COLUMBIA LABORATORIES INCJanuary 31, 2012? ?
Essex Rental Corp.February 16, 20112,805,66613.0%
Pet DRx CORPSold outFebruary 09, 201100.0%
China Ceramics Co., LtdOctober 14, 20101,350,00010.3%
NABI BIOPHARMACEUTICALSJune 22, 20102,344,5974.8%

View KNOTT DAVID M's complete significant-ownership history.

Latest filings
TypeFiled
13F-HR2021-11-12
13F-HR2021-08-13
13F-HR2021-05-13
13F-HR2021-02-12
13F-HR2020-11-13
13F-HR2020-08-12
13F-HR2020-05-13
13F-HR2020-02-14
13F-HR2019-11-12
13F-HR2019-08-12

View KNOTT DAVID M's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (212799000.0 != 212802000.0)

Export KNOTT DAVID M's holdings