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Copper Rock Capital Partners, LLC

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
GENERAC HOLDINGS INC. GNRCCOM73,675-63,05714,266,000-2,406,0004.820.12 Hist 09/30/2020
PERFICIENT INC PRFTCommon244,896-66,66310,467,000-681,0003.540.74 Hist 09/30/2020
R1 RCM Holdco Inc. RCMCOM590,499-288,41810,127,000327,0003.420.51 Hist 09/30/2020
LHC Group, Inc LHCGCommon46,077-23,4279,794,000-2,322,0003.310.15 Hist 09/30/2020
Arcosa, Inc. ACACommon221,552-41,6079,768,000-1,337,0003.300.46 Hist 09/30/2020
DARLING INGREDIENTS INC. DARCommon270,653-129,1489,752,000-91,0003.290.17 Hist 09/30/2020
QUANTA SERVICES, INC. PWRCommon182,786-100,4769,662,000-1,450,0003.260.13 Hist 09/30/2020
Hannon Armstrong Sustainable Infrastructure Capital, Inc. HASICommon227,901227,9019,633,0009,633,0003.250.31 Hist 09/30/2020
FirstService Corp FSVStock70,706-33,1759,336,000-1,132,0003.15  Hist 09/30/2020
AUTONATION, INC. ANCommon171,861-82,7009,097,000-469,0003.070.20 Hist 09/30/2020
MGP INGREDIENTS INC MGPICommon226,979226,9799,020,0009,020,0003.051.34 Hist 09/30/2020
FLAGSTAR BANCORP INC FBCCommon303,997-74,1329,007,000-2,121,0003.040.53 Hist 09/30/2020
FTI CONSULTING, INC FCNCommon83,500-78,2758,848,000-9,683,0002.990.23 Hist 09/30/2020
eHealth, Inc. EHTHCommon111,384111,3848,799,0008,799,0002.970.43 Hist 09/30/2020
GIBRALTAR INDUSTRIES, INC. ROCKCommon134,939-65,0418,790,000-811,0002.970.42 Hist 09/30/2020
Emergent BioSolutions Inc. EBSCOMMON83,374-23,7758,615,000142,0002.910.16 Hist 09/30/2020
TANDEM DIABETES CARE INC TNDMCommon73,078-51,0548,294,000-3,985,0002.800.12 Hist 09/30/2020
Azenta, Inc. BRKSCommon178,749178,7498,269,0008,269,0002.790.24 Hist 09/30/2020
DECKERS OUTDOOR CORP DECKCommon37,200-15,1158,184,000-2,090,0002.760.13 Hist 09/30/2020
AGREE REALTY CORP ADCCommon126,568-32,0728,055,000-2,369,0002.720.24 Hist 09/30/2020
INPHI Corp IPHICOM71,756-20,4758,055,000-2,782,0002.720.14 Hist 09/30/2020
ACUITY BRANDS INC AYICommon74,96474,9647,673,0007,673,0002.590.19 Hist 09/30/2020
CHEGG, INC CHGGCommon105,431-81,2467,532,000-5,024,0002.540.08 Hist 09/30/2020
NV5 Global, Inc. NVEECOM141,059-68,8547,444,000-3,226,0002.511.07 Hist 09/30/2020
CHARLES RIVER LABORATORIES INTERNATIONAL, INC. CRLCommon32,269-25,7937,307,000-2,816,0002.470.06 Hist 09/30/2020
BLACKLINE, INC. BLCOM81,223-52,8107,280,000-3,833,0002.460.14 Hist 09/30/2020
Grocery Outlet Holding Corp. GOCOM176,694-85,6196,948,000-3,754,0002.350.19 Hist 09/30/2020
Argo Group International Holdings, Ltd. PXTCOM644,402-199,0926,793,000-3,376,0002.291.86 Hist 09/30/2020
REPLIGEN CORP RGENCOM45,568-30,8776,723,000-2,726,0002.270.09 Hist 09/30/2020
Element Solutions Inc ESICommon614,492-294,7886,458,000-3,408,0002.180.25 Hist 09/30/2020
iSHARES TRUST SCZCommon86,402-19,1135,097,000-561,0001.72  Hist 09/30/2020
ONEX CORP OCXCommon78,46278,4623,502,0003,502,0001.18  Hist 09/30/2020
WNS (HOLDINGS) LTD WNSSPON ADR45,61945,6192,918,0002,918,0000.99  Hist 09/30/2020
SPN Fairway Acquisition, Inc. CPXCOMMON108,556-95,8492,397,000-1,818,0000.81  Hist 09/30/2020
Ternium S.A. TXSPON ADR98,93698,9361,863,0001,863,0000.63  Hist 09/30/2020
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