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Why it matters

This signal is selected by portfolio impact within the manager filing, while the full filing change list remains available in the briefing.

Full Filing Changes

924 changes from Mario Gabelli (GAMCO Investors), filed 2025-02-13 for period end 2024-12-31.

$9.5B portfolio value
StockActionChangeCurrentPortfolio Impact
607828100
MODINE MANUFACTURING CO
Reduced-$30.1M$139.6M0.32%
361448103
GATX CORP
Increased$24.4M$204.7M0.26%
526057302
LENNAR CORP - B SHS
Reduced-$21.9M$60.5M0.23%
879433829
TELEPHONE AND DATA SYSTEMS
Increased$20.2M$65.3M0.21%
867975104
SUNRISE COMMUNICAT-CL A
New$19.1M$19.1M0.20%
883203101
TEXTRON INC
Reduced-$18.0M$110.5M0.19%
05351W103
AVANGRID INC
Sold out-$17.2M$00.18%
42704L104
HERC HOLDINGS INC
Reduced-$15.1M$212.3M0.16%
G61188101
LIBERTY GLOBAL LTD-A
Reduced-$14.7M$19.5M0.15%
G61188127
LIBERTY GLOBAL LTD-C
Reduced-$14.6M$9.1M0.15%
224408104
CRANE CO
Reduced-$14.0M$180.5M0.15%
40049J206
GRUPO TELEVISA SA-SPON ADR
Reduced-$13.8M$28.8M0.14%
928377100
VISTA OUTDOOR INC
Sold out-$13.2M$00.14%
35671D857
FREEPORT-MCMORAN INC
Reduced-$12.1M$38.9M0.13%
449172105
HYSTER-YALE INC
Reduced-$12.0M$43.2M0.13%
790148100
ST JOE CO/THE
Reduced-$11.3M$30.4M0.12%
922908553
VANGUARD REAL ESTATE ETF
Reduced-$11.1M$356,3340.12%
624756102
MUELLER INDUSTRIES INC
Reduced-$11.1M$214.5M0.12%
11135F101
BROADCOM INC
Increased$10.9M$12.5M0.11%
372460105
GENUINE PARTS CO
Reduced-$10.2M$59.7M0.11%
55825T103
MADISON SQUARE GARDEN SPORTS
Increased$10.2M$132.8M0.11%
74167P108
PRIMO WATER CORP
Sold out-$10.0M$00.10%
690045109
REVELYST INC
New$9.9M$9.9M0.10%
835699307
SONY GROUP CORP - SP ADR
Increased$9.6M$133.8M0.10%
86614U100
SUMMIT MATERIALS INC -CL A
New$9.2M$9.2M0.10%
29355X107
ENPRO INC
Reduced-$8.9M$75.7M0.09%
98419M100
XYLEM INC
Reduced-$8.9M$46.3M0.09%
775711104
ROLLINS INC
Reduced-$8.7M$80.9M0.09%
911684108
US CELLULAR CORP
Increased$8.7M$83.5M0.09%
609207105
MONDELEZ INTERNATIONAL INC-A
Reduced-$8.5M$32.8M0.09%
628464109
MYERS INDUSTRIES INC
Reduced-$8.1M$37.4M0.08%
16115Q308
CHART INDUSTRIES INC
Increased$7.8M$22.6M0.08%
949746101
WELLS FARGO & CO
Increased$7.8M$53.4M0.08%
703395103
PATTERSON COS INC
Increased$7.7M$22.3M0.08%
677864100
OIL-DRI CORP OF AMERICA
Increased$7.3M$35.1M0.08%
880345103
TENNANT CO
Reduced-$7.0M$38.6M0.07%
781846308
RUSH ENTERPRISES INC - CL B
Increased$7.0M$59.2M0.07%
171604101
CHUY'S HOLDINGS INC
Sold out-$6.9M$00.07%
558256103
MADISON SQUARE GARDEN ENTERT
Reduced-$6.7M$24.9M0.07%
651639106
NEWMONT CORP
Reduced-$6.5M$21.5M0.07%
25243Q205
DIAGEO PLC-SPONSORED ADR
Reduced-$6.5M$32.6M0.07%
350060109
FOSTER (LB) CO-A
Increased$6.2M$25.1M0.06%
879512309
TELESAT CORP
Increased$6.1M$31.8M0.06%
894650100
TREDEGAR CORP
Increased$5.9M$43.2M0.06%
934423104
WARNER BROS DISCOVERY INC
Increased$5.9M$31.4M0.06%
87901J105
TEGNA INC
Increased$5.8M$43.7M0.06%
09581B103
BLUE OWL CAPITAL INC
Increased$5.8M$6.8M0.06%
08986R408
BIGLARI HOLDINGS INC-A
Increased$5.7M$16.9M0.06%
235825205
DANA INC
Increased$5.7M$39.6M0.06%
947890109
WEBSTER FINANCIAL CORP
Reduced-$5.5M$6.5M0.06%
457030104
INGLES MARKETS INC-CLASS A
Reduced-$5.5M$34.9M0.06%
577128101
MATTHEWS INTL CORP-CLASS A
Increased$5.3M$33.3M0.06%
00751Y106
ADVANCE AUTO PARTS INC
Increased$5.3M$19.6M0.06%
566330106
MARCUS CORPORATION
Increased$5.2M$17.6M0.05%
01741R102
ATI INC
Reduced-$5.0M$22.3M0.05%
05329W102
AUTONATION INC
Reduced-$5.0M$65.1M0.05%
09290D101
BLACKROCK INC
New$5.0M$5.0M0.05%
810186106
SCOTTS MIRACLE-GRO CO
Reduced-$5.0M$17.2M0.05%
48251W104
KKR & CO INC
Increased$5.0M$53.9M0.05%
532457108
ELI LILLY & CO
Reduced-$4.9M$25.9M0.05%
09247X101
BLACKROCK INC
Sold out-$4.8M$00.05%
942749102
WATTS WATER TECHNOLOGIES-A
Reduced-$4.7M$95.0M0.05%
370334104
GENERAL MILLS INC
Reduced-$4.7M$26.4M0.05%
34354P105
FLOWSERVE CORP
Increased$4.6M$75.9M0.05%
359694106
H.B. FULLER CO.
Reduced-$4.5M$25.8M0.05%
384109104
GRACO INC
Reduced-$4.5M$62.4M0.05%
636180101
NATIONAL FUEL GAS CO
Increased$4.4M$87.8M0.05%
68389X105
ORACLE CORP
Increased$4.4M$7.8M0.05%
34964C106
FORTUNE BRANDS INNOVATIONS I
Reduced-$4.3M$12.8M0.05%
698884103
PAR TECHNOLOGY CORP/DEL
Increased$4.3M$15.0M0.04%
15857105
ALGONQUIN POWER & UTILITIES
Increased$4.2M$12.7M0.04%
00130H105
AES CORP
Reduced-$4.2M$7.3M0.04%
70959W103
PENSKE AUTOMOTIVE GROUP INC
Reduced-$4.2M$63.7M0.04%
69349H107
TXNM ENERGY INC
Increased$4.2M$38.4M0.04%
254687106
WALT DISNEY CO/THE
Increased$4.1M$33.7M0.04%
40412C101
HCA HEALTHCARE INC
Reduced-$4.1M$11.1M0.04%
55826T102
SPHERE ENTERTAINMENT CO
Reduced-$4.1M$36.5M0.04%
25816109
AMERICAN EXPRESS CO
Increased$4.1M$152.6M0.04%
64058100
BANK OF NEW YORK MELLON CORP
Increased$4.0M$116.7M0.04%
775109200
ROGERS COMMUNICATIONS INC-B
Reduced-$4.0M$12.4M0.04%
65339F101
NEXTERA ENERGY INC
Reduced-$4.0M$19.2M0.04%
384556106
GRAHAM CORP
Increased$4.0M$12.3M0.04%
829242106
SINCLAIR INC
Increased$4.0M$59.8M0.04%
857477103
STATE STREET CORP
Increased$3.9M$57.3M0.04%
90353T100
UBER TECHNOLOGIES INC
Reduced-$3.9M$292,8540.04%
35137L204
FOX CORP - CLASS B
Increased$3.8M$27.8M0.04%
46625H100
JPMORGAN CHASE & CO
Increased$3.8M$52.1M0.04%
538034109
LIVE NATION ENTERTAINMENT IN
Increased$3.8M$32.4M0.04%
858912108
STERICYCLE INC
Sold out-$3.8M$00.04%
126650100
CVS HEALTH CORP
Reduced-$3.8M$6.5M0.04%
14448C104
CARRIER GLOBAL CORP
Reduced-$3.7M$9.0M0.04%
07831C103
BELLRING BRANDS INC
Increased$3.7M$20.4M0.04%
78377T107
RYMAN HOSPITALITY PROPERTIES
Reduced-$3.6M$100.8M0.04%
191216100
COCA-COLA CO/THE
Reduced-$3.6M$19.8M0.04%
149568107
CAVCO INDUSTRIES INC
Reduced-$3.6M$51.8M0.04%
257651109
DONALDSON CO INC
Reduced-$3.5M$26.2M0.04%
81369Y886
UTILITIES SELECT SECTOR SPDR
Sold out-$3.5M$00.04%
500754106
KRAFT HEINZ CO/THE
Reduced-$3.4M$7.0M0.04%
60471A101
MIRION TECHNOLOGIES INC
Increased$3.4M$10.5M0.04%
896818101
TRIUMPH GROUP INC
Increased$3.4M$10.6M0.04%
31100100
AMETEK INC
Increased$3.4M$117.7M0.04%
02079K107
ALPHABET INC-CL C
Increased$3.4M$44.1M0.04%
460690100
INTERPUBLIC GROUP OF COS INC
Reduced-$3.4M$22.7M0.04%
700666100
PARK-OHIO HOLDINGS CORP
Reduced-$3.4M$25.2M0.04%
363576109
ARTHUR J GALLAGHER & CO
Increased$3.3M$3.6M0.03%
G8473T100
STERIS PLC
Reduced-$3.3M$17.3M0.03%
457651107
INNOVEX INTERNATIONAL INC
Reduced-$3.3M$30.7M0.03%
28035Q102
EDGEWELL PERSONAL CARE CO
Reduced-$3.3M$30.9M0.03%
844895102
SOUTHWEST GAS HOLDINGS INC
Reduced-$3.2M$59.7M0.03%
39483102
ARCHER-DANIELS-MIDLAND CO
Reduced-$3.2M$14.9M0.03%
19247A100
COHEN & STEERS INC
Reduced-$3.1M$25.6M0.03%
693475105
PNC FINANCIAL SERVICES GROUP
Increased$3.1M$30.8M0.03%
G9001E102
LIBERTY LATIN AMER A
Reduced-$3.1M$6.7M0.03%
276317104
EASTERN CO/THE
Reduced-$3.1M$13.4M0.03%
911363109
UNITED RENTALS INC
Reduced-$3.1M$19.8M0.03%
126501105
CTS CORP
Increased$3.0M$66.8M0.03%
422806109
HEICO CORP
Reduced-$2.9M$29.3M0.03%
366505105
GARRETT MOTION INC
Increased$2.9M$19.5M0.03%
576690101
MATERION CORP
Reduced-$2.9M$18.9M0.03%
882508104
TEXAS INSTRUMENTS INC
Increased$2.8M$18.4M0.03%
81725T100
SENSIENT TECHNOLOGIES CORP
Reduced-$2.8M$22.3M0.03%
115637100
BROWN-FORMAN CORP-CLASS A
Reduced-$2.8M$9.1M0.03%
231561101
CURTISS-WRIGHT CORP
Increased$2.8M$51.8M0.03%
38222105
APPLIED MATERIALS INC
Reduced-$2.8M$3.1M0.03%
45073V108
ITT INC
Reduced-$2.7M$40.5M0.03%
23135106
AMAZON.COM INC
Increased$2.7M$29.8M0.03%
20030N101
COMCAST CORP-CLASS A
Reduced-$2.7M$19.0M0.03%
05465P101
AXONICS INC
Sold out-$2.7M$00.03%
574795100
MASIMO CORP
Increased$2.7M$14.0M0.03%
637215104
NATIONAL PRESTO INDS INC
Increased$2.7M$10.9M0.03%
278865100
ECOLAB INC
Reduced-$2.7M$16.3M0.03%
438516106
HONEYWELL INTERNATIONAL INC
Increased$2.7M$49.1M0.03%
71639T106
PETIQ INC
Sold out-$2.7M$00.03%
832696405
JM SMUCKER CO/THE
Reduced-$2.6M$17.0M0.03%
552953101
MGM RESORTS INTERNATIONAL
Reduced-$2.6M$17.0M0.03%
67066G104
NVIDIA CORP
Increased$2.6M$42.9M0.03%
244199105
DEERE & CO
Reduced-$2.6M$59.7M0.03%
7.9546E+108
SALLY BEAUTY HOLDINGS INC
Reduced-$2.6M$9.2M0.03%
830830105
CHAMPION HOMES INC
Reduced-$2.6M$17.0M0.03%
594918104
MICROSOFT CORP
Reduced-$2.6M$53.3M0.03%
65341B106
NEXTERA ENERGY PARTNERS LP
Reduced-$2.5M$5.0M0.03%
46224101
ASTEC INDUSTRIES INC
Increased$2.5M$42.8M0.03%
64110L106
NETFLIX INC
Increased$2.4M$14.7M0.03%
523768406
LEE ENTERPRISES
Increased$2.4M$5.4M0.03%
459506101
INTL FLAVORS & FRAGRANCES
Reduced-$2.3M$8.6M0.02%
398433102
GRIFFON CORP
Reduced-$2.3M$38.7M0.02%
26614N102
DUPONT DE NEMOURS INC
Reduced-$2.3M$12.2M0.02%
35137L105
FOX CORP - CLASS A
Increased$2.3M$19.6M0.02%
94106L109
WASTE MANAGEMENT INC
Reduced-$2.3M$30.0M0.02%
88160R101
TESLA INC
Increased$2.2M$6.2M0.02%
478160104
JOHNSON & JOHNSON
Reduced-$2.2M$13.4M0.02%
313855108
FEDERAL SIGNAL CORP
Reduced-$2.2M$35.3M0.02%
83200N103
SMARTSHEET INC-CLASS A
Increased$2.2M$2.5M0.02%
713448108
PEPSICO INC
Reduced-$2.2M$10.8M0.02%
369604301
GENERAL ELECTRIC
Reduced-$2.1M$14.0M0.02%
88262P102
TEXAS PACIFIC LAND CORP
Increased$2.1M$7.0M0.02%
47726104
ATLANTA BRAVES HLDS A IN-A
Reduced-$2.1M$92.3M0.02%
617446448
MORGAN STANLEY
Increased$2.1M$19.0M0.02%
800422107
JOHN B. SANFILIPPO & SON INC
Increased$2.1M$7.6M0.02%
G0508H110
ARCADIUM LITHIUM PLC
Increased$2.1M$2.7M0.02%
95306106
BLUE BIRD CORP
Reduced-$2.1M$6.1M0.02%
655663102
NORDSON CORP
Reduced-$2.0M$8.0M0.02%
77347201
BEL FUSE INC-CL A
Reduced-$2.0M$8.6M0.02%
163072101
CHEESECAKE FACTORY INC/THE
Increased$2.0M$15.5M0.02%
74340W103
PROLOGIS INC
Reduced-$2.0M$5.7M0.02%
537008104
LITTELFUSE INC
Reduced-$2.0M$8.3M0.02%
L6388F110
MILLICOM INTL CELLULAR S.A.
Reduced-$2.0M$21.3M0.02%
92858V101
VIZIO HOLDING CORP-A
Sold out-$2.0M$00.02%
353514102
FRANKLIN ELECTRIC CO INC
Reduced-$2.0M$24.3M0.02%
73939C106
POWERSCHOOL HOLDINGS INC-A
Sold out-$2.0M$00.02%
50155Q100
KYNDRYL HOLDINGS INC
Increased$1.9M$6.6M0.02%
913915104
UNIVERSAL TECHNICAL INSTITUT
Increased$1.9M$5.4M0.02%
00258W108
AARON'S CO INC/THE
Sold out-$1.9M$00.02%
48203R104
JUNIPER NETWORKS INC
Increased$1.9M$4.7M0.02%
3.4959E+113
FORTINET INC
Increased$1.9M$10.4M0.02%
502431109
L3HARRIS TECHNOLOGIES INC
Reduced-$1.9M$13.6M0.02%
874054109
TAKE-TWO INTERACTIVE SOFTWRE
Increased$1.9M$11.4M0.02%
134429109
THE CAMPBELL'S COMPANY
Increased$1.8M$35.2M0.02%
35909D109
FRONTIER COMMUNICATIONS PARE
New$1.8M$1.8M0.02%
896522109
TRINITY INDUSTRIES INC
Reduced-$1.8M$39.6M0.02%
674599105
OCCIDENTAL PETROLEUM CORP
Reduced-$1.8M$2.1M0.02%
343498101
FLOWERS FOODS INC
Reduced-$1.8M$11.7M0.02%
03027X100
AMERICAN TOWER CORP
Reduced-$1.8M$5.6M0.02%
29272W109
ENERGIZER HOLDINGS INC
Increased$1.8M$48.2M0.02%
863111100
STRATTEC SECURITY CORP
Reduced-$1.8M$29.7M0.02%
117043109
BRUNSWICK CORP
Reduced-$1.8M$5.8M0.02%
92556H107
PARAMOUNT GLOBAL-CLASS A
Increased$1.8M$60.6M0.02%
97023105
BOEING CO/THE
Increased$1.8M$18.2M0.02%
397624107
GREIF INC-CL A
Reduced-$1.7M$29.1M0.02%
531229771
LIBERTY MEDIA CORP-LIB-NEW-A
Increased$1.7M$9.3M0.02%
16359R103
CHEMED CORP
Reduced-$1.7M$11.3M0.02%
12769G100
CAESARS ENTERTAINMENT INC
Reduced-$1.7M$12.6M0.02%
99724106
BORGWARNER INC
Reduced-$1.7M$11.2M0.02%
02875D109
AMERICAN OUTDOOR BRANDS INC
Increased$1.7M$4.4M0.02%
30050B101
EVOLENT HEALTH INC - A
Reduced-$1.7M$2.2M0.02%
680665205
OLIN CORP
Reduced-$1.6M$3.9M0.02%
45687V106
INGERSOLL-RAND INC
Reduced-$1.6M$8.3M0.02%
665859104
NORTHERN TRUST CORP
Increased$1.6M$20.1M0.02%
30040W108
EVERSOURCE ENERGY
Reduced-$1.6M$8.1M0.02%
406216101
HALLIBURTON CO
Reduced-$1.6M$23.2M0.02%
96145W103
WESTROCK COFFEE CO
Sold out-$1.6M$00.02%
354613101
FRANKLIN RESOURCES INC
Increased$1.6M$3.0M0.02%
39653100
ARCOSA INC
Reduced-$1.6M$18.5M0.02%
806407102
HENRY SCHEIN INC
Reduced-$1.6M$24.1M0.02%
60505104
BANK OF AMERICA CORP
Increased$1.5M$26.4M0.02%
71375U101
PERFICIENT INC
Sold out-$1.5M$00.02%
148806102
CATALENT INC
Sold out-$1.5M$00.02%
831865209
SMITH (A.O.) CORP
Reduced-$1.5M$4.8M0.02%
773903109
ROCKWELL AUTOMATION INC
Increased$1.5M$34.2M0.02%
G8994E103
TRANE TECHNOLOGIES PLC
Increased$1.5M$4.4M0.02%
2474104
AZZ INC
Reduced-$1.5M$48.6M0.02%
615394202
MOOG INC-CLASS A
Reduced-$1.5M$26.0M0.02%
101137107
BOSTON SCIENTIFIC CORP
Increased$1.5M$11.6M0.02%
19330109
ALLIENT INC
Increased$1.5M$4.2M0.02%
20459V105
COMPOSECURE INC-A
New$1.5M$1.5M0.02%
94106B101
WASTE CONNECTIONS INC
Reduced-$1.4M$17.8M0.02%
418100103
HASHICORP INC-CL A
Increased$1.4M$4.7M0.02%
H1467J104
CHUBB LTD
Increased$1.4M$4.0M0.02%
808524847
SCHWAB US REIT ETF
Sold out-$1.4M$00.01%
71813109
BAXTER INTERNATIONAL INC
Reduced-$1.4M$4.6M0.01%
892356106
TRACTOR SUPPLY COMPANY
Reduced-$1.4M$13.4M0.01%
36828A101
GE VERNOVA INC
Increased$1.4M$6.5M0.01%
344419106
FOMENTO ECONOMICO MEX-SP ADR
Reduced-$1.4M$8.5M0.01%
92240M108
VECTOR GROUP LTD
Sold out-$1.4M$00.01%
47726302
ATLANTA BRAVES HLDS C IN-C
Reduced-$1.4M$55.8M0.01%
682680103
ONEOK INC
Increased$1.4M$15.8M0.01%
531229722
LIBERTY MEDIA CORP - C - -LIBERTY-C
Increased$1.4M$4.7M0.01%
03823U102
APPLIED OPTOELECTRONICS INC
Increased$1.4M$2.3M0.01%
983134107
WYNN RESORTS LTD
Increased$1.3M$4.8M0.01%
48238T109
OPENLANE INC
Increased$1.3M$9.0M0.01%
98421M106
XEROX HOLDINGS CORP
Increased$1.3M$3.2M0.01%
405217100
HAIN CELESTIAL GROUP INC
Reduced-$1.3M$3.3M0.01%
379577208
GLOBUS MEDICAL INC - A
Increased$1.3M$11.1M0.01%
09260D107
BLACKSTONE INC
Increased$1.3M$19.5M0.01%
58933Y105
MERCK & CO. INC.
Reduced-$1.3M$7.9M0.01%
84670702
BERKSHIRE HATHAWAY INC-CL B
Reduced-$1.3M$39.4M0.01%
901476101
TWIN DISC INC
Reduced-$1.3M$19.2M0.01%
361105
AAR CORP
Reduced-$1.3M$16.8M0.01%
45167R104
IDEX CORP
Reduced-$1.3M$37.2M0.01%
92826C839
VISA INC-CLASS A SHARES
Increased$1.2M$10.4M0.01%
67079A102
NUVEI CORP-SUBORDINATE VTG
Sold out-$1.2M$00.01%
776696106
ROPER TECHNOLOGIES INC
Reduced-$1.2M$14.2M0.01%
520776105
DISTRIBUTION SOLUTIONS GROUP
Reduced-$1.2M$9.0M0.01%
76118Y104
RESIDEO TECHNOLOGIES INC
Increased$1.2M$11.0M0.01%
G5784H106
MANCHESTER UNITED PLC-CL A
Increased$1.2M$3.9M0.01%
22788C105
CROWDSTRIKE HOLDINGS INC - A
Increased$1.2M$6.8M0.01%
100557107
BOSTON BEER COMPANY INC-A
Increased$1.2M$4.7M0.01%
398182303
AMERICAN HEALTHCARE REIT INC
New$1.2M$1.2M0.01%
G3075P101
ENSTAR GROUP LTD
Increased$1.1M$3.3M0.01%
G97822103
PERRIGO CO PLC
Reduced-$1.1M$19.1M0.01%
374689107
GIBRALTAR INDUSTRIES INC
Reduced-$1.1M$5.1M0.01%
675232102
OCEANEERING INTL INC
Increased$1.1M$9.7M0.01%
863667101
STRYKER CORP
Increased$1.1M$7.8M0.01%
G0378L100
ANGLOGOLD ASHANTI PLC
Increased$1.1M$2.0M0.01%
531229755
LIBERTY MEDIA CORP C NEW -LIB-NEW-C
Increased$1.1M$7.5M0.01%
69526K105
PACTIV EVERGREEN INC
New$1.1M$1.1M0.01%
70014A104
PARK AEROSPACE CORP
Increased$1.1M$9.9M0.01%
92556H206
PARAMOUNT GLOBAL-CLASS B
Reduced-$1.1M$3.5M0.01%
85225A107
SQUARESPACE INC - CLASS A
Sold out-$1.1M$00.01%
98983V106
ZUORA INC - CLASS A
New$1.1M$1.1M0.01%
125523100
THE CIGNA GROUP
Reduced-$1.1M$4.3M0.01%
H11356104
BUNGE GLOBAL SA
Reduced-$1.1M$4.2M0.01%
86183P102
STONERIDGE INC
Reduced-$1.1M$1.4M0.01%
51509F105
LANDS' END INC
Reduced-$1.1M$3.9M0.01%
67806109
BARNES GROUP INC
Increased$1.1M$2.3M0.01%
285409108
ELECTROMED INC
Increased$1.1M$4.0M0.01%
46222L108
IONQ INC
New$1.0M$1.0M0.01%
668074305
NORTHWESTERN ENERGY GROUP IN
Reduced-$1.0M$14.6M0.01%
487836108
KELLANOVA
Reduced-$1.0M$7.1M0.01%
98956P102
ZIMMER BIOMET HOLDINGS INC
Reduced-$1.0M$22.0M0.01%
87161C501
SYNOVUS FINANCIAL CORP
Increased$1.0M$14.1M0.01%
848574109
SPIRIT AEROSYSTEMS HOLD-CL A
Increased$1.0M$3.5M0.01%
910571108
UNITED GUARDIAN INC
Reduced-$1.0M$1.5M0.01%
44186104
ASHLAND INC
Reduced-$994,967$4.6M0.01%
610236101
MONRO INC
Reduced-$992,167$16.9M0.01%
974637100
WINNEBAGO INDUSTRIES
Reduced-$985,220$4.8M0.01%
278768106
ECHOSTAR CORP-A
Reduced-$985,001$8.1M0.01%
361570104
GDL FUND
Increased$972,008$3.5M0.01%
630402105
NAPCO SECURITY TECHNOLOGIES
Reduced-$970,200$7.0M0.01%
G4863A108
INTERNATIONAL GAME TECHNOLOG
Reduced-$954,515$4.7M0.01%
724479100
PITNEY BOWES INC
Increased$948,853$3.7M0.01%
L8681T102
SPOTIFY TECHNOLOGY SA
Increased$924,754$5.1M0.01%
68243Q106
1-800-FLOWERS.COM INC-CL A
Increased$914,084$10.5M0.01%
44107P104
HOST HOTELS & RESORTS INC
Reduced-$911,009$5.9M0.01%
835495102
SONOCO PRODUCTS CO
Reduced-$895,900$7.6M0.01%
741623102
PRIMO BRANDS CORP
New$892,330$892,3300.01%
171484108
CHURCHILL DOWNS INC
Reduced-$886,602$31.5M0.01%
84790A105
SPECTRUM BRANDS HOLDINGS INC
Reduced-$885,472$18.9M0.01%
N20944109
CNH INDUSTRIAL NV
Increased$878,978$91.0M0.01%
56525108
BADGER METER INC
Reduced-$876,923$20.0M0.01%
46124J201
INVENTRUST PROPERTIES CORP
New$858,705$858,7050.01%
37954Y871
GLOBAL X URANIUM ETF
Sold out-$858,300$00.01%
81762P102
SERVICENOW INC
Increased$847,505$5.7M0.01%
25537101
AMERICAN ELECTRIC POWER
Reduced-$845,688$221,3520.01%
466032109
J & J SNACK FOODS CORP
Reduced-$835,319$6.8M0.01%
21369103
ALTAIR ENGINEERING INC - A
New$834,692$834,6920.01%
12653C108
CNX RESOURCES CORP
Increased$820,349$7.3M0.01%
808541106
MATIV HOLDINGS INC
Reduced-$819,148$1.3M0.01%
G1890L107
CAPRI HOLDINGS LTD
Reduced-$818,608$494,9100.01%
216648501
COOPER COS INC/THE
Reduced-$810,040$4.0M0.01%
389375106
GRAY MEDIA INC
Reduced-$804,120$1.1M0.01%
69343T107
PJT PARTNERS INC - A
Reduced-$797,774$2.6M0.01%
N07059210
ASML HOLDING NV-NY REG SHS
Reduced-$794,742$3.5M0.01%
74319R101
PROG HOLDINGS INC
Reduced-$789,445$5.0M0.01%
419870100
HAWAIIAN ELECTRIC INDS
Increased$784,759$1.5M0.01%
526057104
LENNAR CORP-A
Reduced-$773,184$3.0M0.01%
320517105
FIRST HORIZON CORP
Increased$772,457$3.8M0.01%
686688102
ORMAT TECHNOLOGIES INC
Reduced-$770,792$5.7M0.01%
829933100
SIRIUS XM HOLDINGS INC
Reduced-$769,346$11.6M0.01%
109696104
BRINK'S CO/THE
Reduced-$762,142$1.3M0.01%
78409V104
S&P GLOBAL INC
Reduced-$761,761$11.3M0.01%
535919401
LIONS GATE ENTERTAINMENT-A
Increased$759,631$3.1M0.01%
44930G107
ICU MEDICAL INC
Reduced-$755,145$3.9M0.01%
737446104
POST HOLDINGS INC
Reduced-$745,022$29.8M0.01%
92343V104
VERIZON COMMUNICATIONS INC
Reduced-$741,689$3.5M0.01%
920253101
VALMONT INDUSTRIES
Increased$740,844$21.0M0.01%
74955L103
RGC RESOURCES INC
Reduced-$740,696$8.1M0.01%
92857W308
VODAFONE GROUP PLC-SP ADR
Reduced-$728,801$8.7M0.01%
67901108
BARRICK GOLD CORP
Reduced-$726,034$1.7M0.01%
531229748
LIBERTY MEDIA CORP A -LIBERTY-A
Increased$717,818$2.8M0.01%
437076102
HOME DEPOT INC
Reduced-$714,937$16.1M0.01%
03676C100
ANTERIX INC
Increased$714,783$4.5M0.01%
G4474Y214
JANUS HENDERSON GROUP PLC
Increased$712,840$18.3M0.01%
92047W101
VALVOLINE INC
Reduced-$701,730$3.9M0.01%
872590104
T-MOBILE US INC
Increased$697,877$20.4M0.01%
717081103
PFIZER INC
Increased$691,225$20.3M0.01%
18522300
ALLETE INC
Increased$689,742$3.5M0.01%
632347100
NATHAN'S FAMOUS INC
Reduced-$676,034$22.2M0.01%
234264109
DAKTRONICS INC
Increased$675,176$3.3M0.01%
749660106
RPC INC
Reduced-$674,934$18.3M0.01%
565849106
MARATHON OIL CORP
Sold out-$672,967$00.01%
05379B107
AVISTA CORP
Increased$667,995$11.2M0.01%
92936U109
WP CAREY INC
Reduced-$667,052$740,9280.01%
00215F107
ATN INTERNATIONAL INC
Increased$665,340$1.1M0.01%
383082104
GORMAN-RUPP CO
Reduced-$659,371$19.8M0.01%
L02235106
ARDAGH METAL PACKAGING SA
Reduced-$654,014$4.0M0.01%
302491303
FMC CORP
Reduced-$653,153$1.5M0.01%
18453H106
CLEAR CHANNEL OUTDOOR HOLDIN
Reduced-$647,480$7.7M0.01%
980745103
WOODWARD INC
Reduced-$644,334$12.7M0.01%
902252105
TYLER TECHNOLOGIES INC
Reduced-$640,955$30.3M0.01%
77634L105
R1 RCM INC
Sold out-$621,213$00.01%
756109104
REALTY INCOME CORP
Reduced-$618,401$1.6M0.01%
49446R109
KIMCO REALTY CORP
Increased$613,648$1.9M0.01%
36261K400
GABELLI FIN SRVCS OPP ETF
Increased$609,387$9.9M0.01%
94724R108
WEAVE COMMUNICATIONS INC
New$608,144$608,1440.01%
82312B106
SHENANDOAH TELECOMMUNICATION
Increased$607,870$2.8M0.01%
760759100
REPUBLIC SERVICES INC
Reduced-$601,326$107.1M0.01%
71424F105
PERMIAN RESOURCES CORP
Increased$595,700$2.2M0.01%
381013101
GOLDEN ENTERTAINMENT INC
Reduced-$592,499$23.9M0.01%
128246105
CALAVO GROWERS INC
Increased$590,133$5.7M0.01%
41242108
ARKO CORP
Increased$583,922$1.2M0.01%
G3265R107
APTIV PLC
New$580,608$580,6080.01%
147448104
CASELLA WASTE SYSTEMS INC-A
Increased$577,199$10.5M0.01%
55903Q104
MAG SILVER CORP
Sold out-$576,623$00.01%
202608105
COMMERCIAL VEHICLE GROUP INC
Reduced-$575,434$1.7M0.01%
929236107
WD-40 CO
Reduced-$574,864$9.2M0.01%
978097103
WOLVERINE WORLD WIDE INC
Increased$574,078$2.7M0.01%
66765N105
NORTHWEST NATURAL HOLDING CO
Increased$572,696$14.1M0.01%
359678109
FULL HOUSE RESORTS INC
Reduced-$570,528$2.5M0.01%
447011107
HUNTSMAN CORP
Reduced-$570,520$2.1M0.01%
866674104
SUN COMMUNITIES INC
Reduced-$569,880$1.7M0.01%
384637104
GRAHAM HOLDINGS CO-CLASS B
Reduced-$567,900$12.5M0.01%
252131107
DEXCOM INC
Increased$557,960$4.0M0.01%
413160102
HARMONIC INC
Increased$554,733$925,8750.01%
29404K106
ENVESTNET INC
Sold out-$551,056$00.01%
228368106
CROWN HOLDINGS INC
Reduced-$548,029$2.9M0.01%
83417Q204
SOLARWINDS CORP
Increased$547,036$1.6M0.01%
65336K103
NEXSTAR MEDIA GROUP INC
Reduced-$543,370$11.3M0.01%
368678108
GENCOR INDUSTRIES INC
Reduced-$542,807$2.9M0.01%
489170100
KENNAMETAL INC
Reduced-$542,036$5.6M0.01%
20825C104
CONOCOPHILLIPS
Reduced-$539,632$5.1M0.01%
742718109
PROCTER & GAMBLE CO/THE
Reduced-$534,246$9.9M0.01%
343873105
FLUSHING FINANCIAL CORP
Reduced-$526,827$16.4M0.01%
G51502105
JOHNSON CONTROLS INTERNATION
Reduced-$526,818$32.8M0.01%
853666105
STANDARD MOTOR PRODS
Reduced-$523,814$22.2M0.01%
624758108
MUELLER WATER PRODUCTS INC-A
Increased$516,709$65.5M0.01%
931142103
WALMART INC
Increased$511,301$6.3M0.01%
M85548101
STRATASYS LTD
Increased$511,232$1.7M0.01%
G0750C108
AXALTA COATING SYSTEMS LTD
Reduced-$510,829$4.5M0.01%
00164V103
AMC NETWORKS INC-A
Increased$510,310$4.3M0.01%
74316X101
PROFIRE ENERGY INC
New$508,000$508,0000.01%
G9001E128
LIBERTY LATIN AMER C
Reduced-$503,846$559,6700.01%
883556102
THERMO FISHER SCIENTIFIC INC
Reduced-$499,155$2.1M0.01%
98978V103
ZOETIS INC
Reduced-$498,657$2.2M0.01%
92113109
BLACK HILLS CORP
Reduced-$497,695$11.2M0.01%
530307305
LIBERTY BROAD C
Reduced-$492,272$10.7M0.01%
91702V101
URANIUM ROYALTY CORP
Sold out-$490,000$00.01%
518439104
ESTEE LAUDER COMPANIES-CL A
New$484,446$484,4460.01%
46564T107
ITERIS INC
Sold out-$483,378$00.01%
264147109
DUCOMMUN INC
Reduced-$483,270$37.0M0.01%
18270P109
CLARUS CORP
Increased$477,550$1.3M0.01%
420877201
HAYNES INTERNATIONAL INC
Sold out-$473,879$00.00%
929160109
VULCAN MATERIALS CO
Increased$473,868$8.9M0.00%
37833100
APPLE INC
Increased$471,663$28.5M0.00%
38046C109
GOGO INC
Increased$471,361$3.0M0.00%
03076C106
AMERIPRISE FINANCIAL INC
Increased$467,714$5.4M0.00%
874039100
TAIWAN SEMICONDUCTOR-SP ADR
Increased$463,343$961,7760.00%
889478103
TOLL BROTHERS INC
Reduced-$457,319$3.4M0.00%
315948109
FIDELITY WISE ORIGIN BITCOIN
Increased$455,875$1.4M0.00%
875465106
TANGER INC
Sold out-$454,566$00.00%
67103H107
O'REILLY AUTOMOTIVE INC
Reduced-$453,002$54.9M0.00%
37637Q105
GLACIER BANCORP INC
New$451,980$451,9800.00%
806857108
SCHLUMBERGER LTD
Reduced-$451,190$7.9M0.00%
82900L102
SIMPLY GOOD FOODS CO/THE
Increased$445,355$871,9830.00%
30231G102
EXXON MOBIL CORP
Reduced-$444,653$4.5M0.00%
G4740B105
ICHOR HOLDINGS LTD
New$444,636$444,6360.00%
1.3811E+105
CANTERBURY PARK HOLDING CORP
Increased$444,138$7.7M0.00%
91829F104
VOXX INTERNATIONAL CORP
New$442,800$442,8000.00%
800363103
SANDY SPRING BANCORP INC
Increased$440,704$7.1M0.00%
02079K305
ALPHABET INC-CL A
Increased$438,281$12.3M0.00%
81369Y308
CONSUMER STAPLES SPDR
Reduced-$437,770$3.4M0.00%
479167108
JOHNSON OUTDOORS INC-A
Increased$437,420$11.7M0.00%
86887Q109
SURO CAPITAL CORP
Increased$435,250$1.2M0.00%
8.9151E+113
TOTALENERGIES SE -SPON ADR
Reduced-$432,956$1.7M0.00%
65345N114
NEXTNAV INC
New$430,500$430,5000.00%
784305104
SJW GROUP
Reduced-$424,498$2.4M0.00%
84670108
BERKSHIRE HATHAWAY INC-CL A
Reduced-$420,660$27.9M0.00%
49803T300
KITE REALTY GROUP TRUST
Increased$418,520$631,0000.00%
11120U105
BRIXMOR PROPERTY GROUP INC
Reduced-$418,274$520,6080.00%
92276F100
VENTAS INC
New$413,467$413,4670.00%
603158106
MINERALS TECHNOLOGIES INC
Reduced-$412,972$18.2M0.00%
12348108
ALBANY INTL CORP-CL A
Reduced-$412,285$3.9M0.00%
293792107
ENTERPRISE PRODUCTS PARTNERS
Increased$407,425$6.5M0.00%
533900106
LINCOLN ELECTRIC HOLDINGS
Reduced-$407,225$16.8M0.00%
532746104
LIMONEIRA CO
Reduced-$401,088$4.7M0.00%
91324P102
UNITEDHEALTH GROUP INC
Reduced-$400,927$1.5M0.00%
314211103
FEDERATED HERMES INC
Increased$399,714$3.8M0.00%
698884AE3
PAR TECHNOLOGY CORP 1.500 10/15/27 CVT
Sold out-$399,624$00.00%
35243J101
FRANKLIN BSP REALTY TRUST IN
Increased$398,916$998,7360.00%
69331C306
PG&E CORP 6.000 12/01/27 SR:A CVT
New$398,320$398,3200.00%
05368M106
AVID BIOSERVICES INC
New$398,288$398,2880.00%
811054402
EW SCRIPPS CO NEW
Reduced-$397,704$6.4M0.00%
88034P109
TENCENT MUSIC ENTERTAINM-ADR
Increased$397,375$1.5M0.00%
446150104
HUNTINGTON BANCSHARES INC
Increased$393,979$4.1M0.00%
284902509
ELDORADO GOLD CORP
Reduced-$391,300$2.3M0.00%
420261109
HAWKINS INC
Reduced-$390,951$5.8M0.00%
891092108
TORO CO
Reduced-$390,507$4.7M0.00%
654106103
NIKE INC -CL B
Sold out-$387,899$00.00%
833034101
SNAP-ON INC
Reduced-$387,556$646,7090.00%
34959J108
FORTIVE CORP
New$384,300$384,3000.00%
689648103
OTTER TAIL CORP
Reduced-$381,210$20.2M0.00%
23331A109
DR HORTON INC
New$381,010$381,0100.00%
866082AA8
SUMMIT HOTEL PROPERTIES 1.500 02/15/26 CVT
Sold out-$378,560$00.00%
65339F713
NEXTERA ENERGY INC 6.926 09/01/25 CVT
Sold out-$370,880$00.00%
27627N105
EASTERN BANKSHARES INC
New$370,875$370,8750.00%
962879102
WHEATON PRECIOUS METALS CORP
Reduced-$369,916$4.3M0.00%
824348106
SHERWIN-WILLIAMS CO/THE
Reduced-$368,692$2.9M0.00%
70203104
BASSETT FURNITURE INDS
Reduced-$366,143$7.9M0.00%
65339F119
NEXTERA ENERGY INC 7.234 11/01/27 CVT
New$364,800$364,8000.00%
82452JAB5
SHIFT4 PAYMENTS INC 0.000 12/15/25 CVT
Sold out-$364,479$00.00%
11532108
ALAMOS GOLD INC-CLASS A
Reduced-$362,823$4.5M0.00%
535555106
LINDSAY CORP
Reduced-$360,810$6.7M0.00%
227483104
CROSS COUNTRY HEALTHCARE INC
New$359,259$359,2590.00%
92942W107
WK KELLOGG CO
Increased$357,699$7.4M0.00%
268948106
EAGLE BANCORP INC
Increased$356,544$7.3M0.00%
55380K109
M-TRON INDUSTRIES INC
Increased$354,793$7.5M0.00%
90353TAM2
UBER TECHNOLOGIES INC 0.875 12/01/28 SR:2028 CVT
New$353,146$353,1460.00%
218683100
CORE MOLDING TECHNOLOGIES IN
Reduced-$352,097$6.4M0.00%
57638P104
MASTERBRAND INC
Reduced-$350,300$1.3M0.00%
464287598
ISHARES RUSSELL 1000 VALUE E
Reduced-$350,080$2.6M0.00%
127387108
CADENCE DESIGN SYS INC
Increased$348,354$4.0M0.00%
G0751N103
ATLANTICA SUSTAINABLE INFRAS
Sold out-$346,735$00.00%
G6095L109
APTIV PLC
Sold out-$343,416$00.00%
651587107
NEWMARKET CORP
Reduced-$341,330$7.7M0.00%
68404L201
OPTION CARE HEALTH INC
Reduced-$339,998$2.5M0.00%
437872104
HOMETRUST BANCSHARES INC
Increased$334,406$681,8520.00%
655664100
NORDSTROM INC
New$333,270$333,2700.00%
78464A698
SPDR S&P REGIONAL BANKING
Reduced-$332,800$1.9M0.00%
36239Q109
GABELLI MULTIMEDIA TRUST INC
Reduced-$332,789$5.6M0.00%
G87052109
TE CONNECTIVITY PLC
Reduced-$330,761$2.7M0.00%
81374A105
SECUREWORKS CORP - A
Increased$330,288$514,3680.00%
50186A108
LGL GROUP INC/THE
Increased$325,184$3.2M0.00%
55955D100
MAGNITE INC
Increased$324,754$1.3M0.00%
Y62132108
NAVIGATOR HOLDINGS LTD
Increased$322,630$7.2M0.00%
57636Q104
MASTERCARD INC - A
Increased$320,007$12.4M0.00%
443201108
HOWMET AEROSPACE INC
Increased$319,241$7.4M0.00%
845467109
SOUTHWESTERN ENERGY CO
Sold out-$318,357$00.00%
31162100
AMGEN INC
Reduced-$315,485$1.4M0.00%
38141G104
GOLDMAN SACHS GROUP INC
Increased$314,690$3.5M0.00%
595112103
MICRON TECHNOLOGY INC
Sold out-$312,478$00.00%
30034W106
EVERGY INC
Reduced-$311,854$18.0M0.00%
42824C109
HEWLETT PACKARD ENTERPRISE
Increased$310,467$10.5M0.00%
913837100
UNIVERSAL STAINLESS & ALLOY
New$310,412$310,4120.00%
29273V100
ENERGY TRANSFER LP
Increased$309,689$1.8M0.00%
4.5245E+113
IMAX CORP
Increased$309,472$1.6M0.00%
59522J103
MID-AMERICA APARTMENT COMM
New$309,140$309,1400.00%
62878D100
N-ABLE INC
Reduced-$304,001$486,1940.00%
67059NAH1
NUTANIX INC 0.250 10/01/27 CVT
New$302,560$302,5600.00%
219798105
QUIDELORTHO CORP
Reduced-$302,525$10.3M0.00%
G5960L103
MEDTRONIC PLC
Sold out-$300,880$00.00%
300426103
EVERUS CONSTRUCTION GROUP
New$299,163$299,1630.00%
G54950103
LINDE PLC
Sold out-$297,561$00.00%
736508847
PORTLAND GENERAL ELECTRIC CO
Reduced-$294,000$2.5M0.00%
68752M108
ORTHOFIX MEDICAL INC
Increased$292,552$2.7M0.00%
92189F106
VANECK GOLD MINERS ETF
Reduced-$292,042$1.7M0.00%
85814R107
STEEL PARTNERS HOLDINGS LP
Increased$291,086$4.1M0.00%
477839104
JBT MAREL CORP
Increased$289,098$1.2M0.00%
704699107
PEAPACK GLADSTONE FINL CORP
Increased$287,288$1.8M0.00%
573874104
MARVELL TECHNOLOGY INC
New$287,170$287,1700.00%
00287Y109
ABBVIE INC
Reduced-$282,770$2.4M0.00%
909907107
UNITED BANKSHARES INC
New$281,625$281,6250.00%
254709108
DISCOVER FINANCIAL SERVICES
New$281,499$281,4990.00%
G037AX101
AMBARELLA INC
Increased$280,949$1.3M0.00%
205887102
CONAGRA BRANDS INC
Reduced-$280,363$1.3M0.00%
20002101
ALLSTATE CORP
Reduced-$280,012$8.4M0.00%
78463V107
SPDR GOLD SHARES
Reduced-$279,247$9.4M0.00%
30371108
AMERICAN VANGUARD CORP
New$277,800$277,8000.00%
292765104
ENERPAC TOOL GROUP CORP
Reduced-$276,004$6.4M0.00%
45782N108
INSPIRED ENTERTAINMENT INC
Increased$275,237$2.6M0.00%
703481101
PATTERSON-UTI ENERGY INC
Increased$273,813$744,9690.00%
G3730V105
FTAI AVIATION LTD
Increased$271,373$6.2M0.00%
464287739
ISHARES US REAL ESTATE ETF
Sold out-$270,567$00.00%
615394301
MOOG INC-CLASS B
Reduced-$267,310$11.4M0.00%
49271V100
KEURIG DR PEPPER INC
Reduced-$267,019$1.6M0.00%
879080109
TEJON RANCH CO
Reduced-$266,922$11.4M0.00%
03743Q108
APA CORP
Increased$265,677$14.0M0.00%
580589109
MCGRATH RENTCORP
Increased$265,277$4.7M0.00%
458140100
INTEL CORP
Reduced-$265,107$228,0690.00%
235851102
DANAHER CORP
Reduced-$264,937$601,6510.00%
12740C103
CADENCE BANK
Increased$260,611$2.8M0.00%
65249B208
NEWS CORP - CLASS B
Increased$260,318$3.2M0.00%
03076K108
AMERIS BANCORP
Increased$259,442$3.4M0.00%
568427108
MARINE PRODUCTS CORP
Reduced-$253,737$4.7M0.00%
31428X106
FEDEX CORP
Increased$250,644$481,3560.00%
833445109
SNOWFLAKE INC-CLASS A
Increased$249,599$1.1M0.00%
337932107
FIRSTENERGY CORP
Reduced-$248,906$1.7M0.00%
852234103
BLOCK INC
New$248,851$248,8510.00%
00922R105
AIR TRANSPORT SERVICES GROUP
New$248,374$248,3740.00%
32037103
AMPCO-PITTSBURGH CORP
Increased$247,997$5.1M0.00%
42234Q102
HEARTLAND FINANCIAL USA INC
New$247,059$247,0590.00%
37045V100
GENERAL MOTORS CO
Increased$246,471$2.6M0.00%
624580106
MOVADO GROUP INC
Increased$245,052$4.5M0.00%
139674105
CAPITAL CITY BANK GROUP INC
Increased$244,080$586,2170.00%
76169C100
REXFORD INDUSTRIAL REALTY IN
Reduced-$243,485$807,9940.00%
635017106
NATIONAL BEVERAGE CORP
Reduced-$241,786$2.2M0.00%
461148108
INTEVAC INC
Increased$241,740$2.0M0.00%
36242H104
GABELLI DIVIDEND & INCOME TR
New$241,500$241,5000.00%
825698103
SHYFT GROUP INC/THE
Reduced-$240,955$2.8M0.00%
571748102
MARSH & MCLENNAN COS
Reduced-$239,683$4.1M0.00%
758075402
REDWOOD TRUST INC
Reduced-$234,480$1.3M0.00%
36240A101
GABELLI UTILITY TRUST
Increased$230,610$1.7M0.00%
7903107
ADVANCED MICRO DEVICES
Reduced-$230,372$229,3800.00%
457187102
INGREDION INC
Reduced-$230,345$3.5M0.00%
28618M106
ELEMENT SOLUTIONS INC
Reduced-$229,917$3.4M0.00%
553530106
MSC INDUSTRIAL DIRECT CO-A
Reduced-$227,400$1.5M0.00%
78462F103
SPDR S&P 500 ETF TRUST
Increased$226,811$10.8M0.00%
907818108
UNION PACIFIC CORP
Sold out-$226,762$00.00%
62944T105
NVR INC
Sold out-$225,671$00.00%
02665T306
AMERICAN HOMES 4 RENT- A
Reduced-$225,585$4.6M0.00%
171077407
CHROMADEX CORP
Increased$225,507$748,0050.00%
4.609E+107
INVESCO QQQ TRUST SERIES 1
Increased$223,494$4.9M0.00%
44891N208
IAC INC
Reduced-$223,234$901,7120.00%
73685109
BEACON ROOFING SUPPLY INC
Increased$222,964$1.7M0.00%
22160K105
COSTCO WHOLESALE CORP
Increased$221,583$6.4M0.00%
50077B207
KRATOS DEFENSE & SECURITY
Increased$220,274$449,7790.00%
53484101
AVALONBAY COMMUNITIES INC
New$219,970$219,9700.00%
563571405
MANITOWOC COMPANY INC
Reduced-$218,704$3.4M0.00%
49456B101
KINDER MORGAN INC
New$217,008$217,0080.00%
318672706
FIRST BANCORP PUERTO RICO
Reduced-$216,720$1.6M0.00%
232109108
CUTERA INC
Reduced-$216,631$60,7110.00%
30420103
AMERICAN WATER WORKS CO INC
Sold out-$216,581$00.00%
85917T109
STERLING CHECK CORP
Sold out-$215,772$00.00%
97023204
BOEING CO/THE 6.000 10/15/27 CVT
New$213,115$213,1150.00%
16411R208
CHENIERE ENERGY INC
New$212,077$212,0770.00%
457790103
INSTRUCTURE HOLDINGS INC
Sold out-$211,950$00.00%
65473P105
NISOURCE INC
New$209,532$209,5320.00%
45769N105
INNOVATIVE SOLUTIONS & SUPP
Increased$209,340$1.1M0.00%
29260Y109
ENDEAVOR GROUP HOLD-CLASS A
Reduced-$209,086$1.8M0.00%
68235P108
ONE GAS INC
Reduced-$208,930$2.8M0.00%
514766104
LIFECORE BIOMEDICAL INC
Increased$207,605$638,9800.00%
96758W101
WIDEOPENWEST INC
Reduced-$207,297$6.9M0.00%
40413205
ARISTA NETWORKS INC
New$206,470$206,4700.00%
987184108
YORK WATER CO
Reduced-$206,190$1.4M0.00%
08579W103
BERRY GLOBAL GROUP INC
New$205,586$205,5860.00%
36227K205
GSE SYSTEMS INC
Sold out-$204,782$00.00%
15189T107
CENTERPOINT ENERGY INC
Sold out-$203,734$00.00%
697435105
PALO ALTO NETWORKS INC
Increased$202,694$3.2M0.00%
583928106
MEDALLION FINANCIAL CORP
Increased$202,500$1.5M0.00%
224441105
CRANE NXT CO
Reduced-$201,627$9.2M0.00%
00827B106
AFFIRM HOLDINGS INC
Increased$200,800$609,0000.00%
453204AD1
IMPINJ INC 1.125 05/15/27 CVT
Sold out-$200,529$00.00%
416906105
HARVARD BIOSCIENCE INC
New$200,450$200,4500.00%
207410101
CONMED CORP
Reduced-$199,056$3.9M0.00%
09061G101
BIOMARIN PHARMACEUTICAL INC
Increased$198,475$659,9290.00%
640491106
NEOGEN CORP
Reduced-$196,011$754,2580.00%
N82405106
STELLANTIS NV
Increased$195,190$533,0930.00%
49428J109
KIMBALL ELECTRONICS INC
Increased$194,775$823,7450.00%
416515104
HARTFORD FINANCIAL SVCS GRP
Reduced-$194,477$240,6800.00%
498894104
KNIFE RIVER CORP
Increased$193,801$1.7M0.00%
73730P108
POSEIDA THERAPEUTICS INC
New$192,000$192,0000.00%
615369105
MOODY'S CORP
Reduced-$191,076$5.1M0.00%
N3144W105
EXPRO GROUP HOLDINGS NV
Reduced-$187,976$430,4020.00%
747525103
QUALCOMM INC
Reduced-$187,553$1.7M0.00%
393657101
GREENBRIER COMPANIES INC
Increased$187,208$7.2M0.00%
780287108
ROYAL GOLD INC
Reduced-$184,884$2.9M0.00%
219350105
CORNING INC
Increased$182,367$12.2M0.00%
781846209
RUSH ENTERPRISES INC-CL A
Increased$180,098$2.3M0.00%
110122108
BRISTOL-MYERS SQUIBB CO
Increased$177,558$5.9M0.00%
351858105
FRANCO-NEVADA CORP
Reduced-$176,126$3.0M0.00%
552690109
MDU RESOURCES GROUP INC
Reduced-$174,502$324,3600.00%
2121101
A10 NETWORKS INC
Increased$174,240$809,6000.00%
457679108
INNOVID CORP
New$173,571$173,5710.00%
76131N101
RETAIL OPPORTUNITY INVESTMEN
Reduced-$171,201$245,6440.00%
46571Y107
I3 VERTICALS INC-CLASS A
Increased$170,175$2.1M0.00%
87968A104
TELLURIAN INC
Sold out-$166,182$00.00%
74935Q107
RB GLOBAL INC
Increased$164,805$5.6M0.00%
538034BA6
LIVE NATION ENTERTAINMEN 3.125 01/15/29 CVT
Reduced-$164,353$204,8330.00%
36261K202
GABELLI GLOBAL GROWTH ETF
Increased$163,570$3.0M0.00%
90572207
BIO-RAD LABORATORIES-A
Reduced-$162,372$8.8M0.00%
371901109
GENTEX CORP
Reduced-$162,345$6.2M0.00%
115637209
BROWN-FORMAN CORP-CLASS B
Reduced-$162,308$549,4190.00%
74014200
BEASLEY BROADCAST GRP INC -A
Increased$161,832$561,9910.00%
133131102
CAMDEN PROPERTY TRUST
Reduced-$161,399$2.1M0.00%
808513105
SCHWAB (CHARLES) CORP
Increased$159,839$1.9M0.00%
539830109
LOCKHEED MARTIN CORP
Reduced-$159,610$803,7450.00%
81369Y605
FINANCIAL SELECT SECTOR SPDR
Increased$158,725$7.6M0.00%
23436108
AMEDISYS INC
Reduced-$158,165$2.8M0.00%
88642R109
TIDEWATER INC
Reduced-$157,327$491,2960.00%
03769M106
APOLLO GLOBAL MANAGEMENT INC
Increased$157,207$1.1M0.00%
75887109
BECTON DICKINSON AND CO
Reduced-$157,069$2.3M0.00%
24869P104
DENNY'S CORP
Reduced-$156,007$2.4M0.00%
43940T109
HOPE BANCORP INC
Reduced-$153,900$7.0M0.00%
887399103
METALLUS INC
Reduced-$152,530$3.1M0.00%
30303M102
META PLATFORMS INC-CLASS A
Increased$152,123$31.7M0.00%
05875B106
BALLY'S CORP
Reduced-$152,054$3.1M0.00%
91822M502
VEON LTD
Increased$151,395$627,1640.00%
209034107
CONSOLIDATED COMMUNICATIONS
Sold out-$150,234$00.00%
01881G106
ALLIANCEBERNSTEIN HOLDING LP
Increased$148,447$2.6M0.00%
29476L107
EQUITY RESIDENTIAL
Reduced-$144,930$1.9M0.00%
775133101
ROGERS CORP
Reduced-$143,775$11.8M0.00%
13765N107
CANNAE HOLDINGS INC
Reduced-$143,210$466,7100.00%
892231101
TOWNSQUARE MEDIA INC - CL A
Reduced-$142,540$3.2M0.00%
36240B109
GABELLI CONVERT & INC SEC
Increased$141,450$4.1M0.00%
842873101
SOUTHERN FIRST BANCSHARES
Increased$138,915$973,8750.00%
15872M104
CHAMPIONX CORP
Increased$138,591$1.5M0.00%
961765104
WESTWOOD HOLDINGS GROUP INC
Increased$138,477$6.5M0.00%
459200101
INTL BUSINESS MACHINES CORP
Reduced-$137,488$4.2M0.00%
29382R107
ENTRAVISION COMMUNICATIONS-A
Increased$137,450$1.4M0.00%
858098205
STEEL CONNECT INC
Sold out-$136,390$00.00%
307675108
FARMER BROS CO
Reduced-$136,314$1.4M0.00%
147528103
CASEY'S GENERAL STORES INC
Reduced-$136,209$649,0250.00%
903002103
UMH PROPERTIES INC
Reduced-$134,217$1.3M0.00%
880779103
TEREX CORP
Reduced-$133,131$919,7780.00%
15687V109
CERTARA INC
New$133,125$133,1250.00%
747316107
QUAKER CHEMICAL CORPORATION
Reduced-$130,331$661,5720.00%
904767704
UNILEVER PLC-SPONSORED ADR
Reduced-$130,033$680,3430.00%
925652109
VICI PROPERTIES INC
Reduced-$128,535$915,7340.00%
166764100
CHEVRON CORP
Reduced-$128,422$3.6M0.00%
8474108
AGNICO EAGLE MINES LTD
Reduced-$128,009$4.3M0.00%
674215207
CHORD ENERGY CORP
Increased$127,018$549,8750.00%
92556V106
VIATRIS INC
Increased$126,913$3.8M0.00%
36261K103
GABELLI LOVE OUR PLANET & PE
Increased$126,693$2.8M0.00%
387328107
GRANITE CONSTRUCTION INC
Increased$126,450$1.3M0.00%
G29183103
EATON CORP PLC
Reduced-$125,219$6.7M0.00%
46120E602
INTUITIVE SURGICAL INC
Increased$123,547$5.8M0.00%
92346J108
VERICEL CORP
Increased$120,396$522,1940.00%
362397101
GABELLI EQUITY TRUST
Reduced-$120,034$4.5M0.00%
7.5513E+105
RTX CORP
Reduced-$118,847$2.1M0.00%
38059T106
GOLD FIELDS LTD-SPONS ADR
Reduced-$118,250$726,0000.00%
337738108
FISERV INC
Increased$117,327$1.1M0.00%
71705107
BAUSCH LOMB CORP
Reduced-$116,718$1.3M0.00%
235050101
DALLASNEWS CORP
Increased$116,640$267,4800.00%
125896100
CMS ENERGY CORP
Reduced-$116,314$1.8M0.00%
25401T603
DIGITALBRIDGE GROUP INC
Increased$116,182$1.5M0.00%
103304101
BOYD GAMING CORP
Increased$115,424$38.7M0.00%
53222Q103
LIFETIME BRANDS INC
Reduced-$113,400$1.1M0.00%
48251K100
KKR REAL ESTATE FINANCE TRUS
Reduced-$112,500$505,0000.00%
81768T108
SERVISFIRST BANCSHARES INC
Increased$111,540$2.2M0.00%
21036P108
CONSTELLATION BRANDS INC-A
Reduced-$110,070$663,0000.00%
68386H111
OPPFI INC -CW26
New$109,620$109,6200.00%
81369Y803
TECHNOLOGY SELECT SECT SPDR
Increased$108,565$3.7M0.00%
83444M101
SOLVENTUM CORP
Increased$108,521$589,5190.00%
531914109
LIFEWAY FOODS INC
Reduced-$107,576$3.0M0.00%
819047101
SHAKE SHACK INC - CLASS A
Increased$106,137$1.2M0.00%
155923105
CENTURI HOLDINGS INC
Reduced-$105,755$2.4M0.00%
225310101
CREDIT ACCEPTANCE CORP
Increased$105,673$1.0M0.00%
45841N107
INTERACTIVE BROKERS GRO-CL A
Increased$104,800$892,1840.00%
755408200
READING INTERNATIONAL INC-B
Increased$103,115$255,0000.00%
74915M100
QURATE RETAIL INC-SERIES A
Reduced-$102,750$136,4950.00%
55306N104
MKS INSTRUMENTS INC
Increased$102,041$423,8230.00%
452308109
ILLINOIS TOOL WORKS
Reduced-$101,269$3.0M0.00%
923451108
VERITEX HOLDINGS INC
Increased$100,800$706,1600.00%
278642103
EBAY INC
Reduced-$99,991$1.1M0.00%
890516107
TOOTSIE ROLL INDS
Increased$98,739$2.6M0.00%
169656105
CHIPOTLE MEXICAN GRILL INC
Increased$98,293$5.0M0.00%
00724F101
ADOBE INC
Reduced-$97,291$746,1730.00%
384747101
GRAIL INC
Increased$96,271$462,3150.00%
297602104
ETHAN ALLEN INTERIORS INC
Reduced-$95,634$711,1830.00%
093712AK3
BLOOM ENERGY CORP 3.000 06/01/28 CVT
Increased$95,447$417,3600.00%
65249B109
NEWS CORP - CLASS A
Increased$94,772$5.8M0.00%
377322102
GLAUKOS CORP
Increased$94,461$781,0370.00%
464287614
ISHARES RUSSELL 1000 GROWTH
Increased$93,534$1.4M0.00%
17275R102
CISCO SYSTEMS INC
Increased$93,363$1.0M0.00%
666807102
NORTHROP GRUMMAN CORP
Reduced-$92,461$738,1930.00%
95805V108
WESTERN COPPER AND GOLD CORP
Reduced-$91,915$498,0890.00%
45528106
ASSOCIATED CAPITAL GROUP - A
Reduced-$89,550$2.6M0.00%
08915P101
BIG 5 SPORTING GOODS CORP
Reduced-$89,400$533,4200.00%
84423102
WR BERKLEY CORP
Increased$89,124$5.7M0.00%
92552V100
VIASAT INC
Reduced-$88,985$131,9050.00%
530307107
LIBERTY BROAD A
Reduced-$88,959$3.2M0.00%
892918103
TRANSACT TECHNOLOGIES INC
Reduced-$87,350$593,0500.00%
88830M102
TITAN INTERNATIONAL INC
Reduced-$87,100$441,3500.00%
36246K103
GABELLI HEALTHCARE & WELLNESS
Reduced-$86,966$3.3M0.00%
75737FAE8
REDFIN CORP 0.500 04/01/27 CVT
Increased$86,812$270,3370.00%
25278X109
DIAMONDBACK ENERGY INC
Reduced-$86,557$1.7M0.00%
22410J106
CRACKER BARREL OLD COUNTRY
Increased$86,365$607,8900.00%
98888T107
ZIMVIE INC
Increased$85,258$7.2M0.00%
205768302
COMSTOCK RESOURCES INC
Increased$85,080$218,6400.00%
253798102
DIGI INTERNATIONAL INC
Increased$84,855$1.2M0.00%
505336107
LA-Z-BOY INC
Reduced-$84,680$5.9M0.00%
40434L105
HP INC
Reduced-$84,539$772,6460.00%
81369Y209
HEALTH CARE SELECT SECTOR
Reduced-$82,250$687,8500.00%
13091103
ALBERTSONS COS INC - CLASS A
Reduced-$82,047$1.3M0.00%
36261K301
GABELLI AUTOMATION ETF
Increased$80,730$4.9M0.00%
194162103
COLGATE-PALMOLIVE CO
Reduced-$79,335$559,0970.00%
887389104
TIMKEN CO
Reduced-$79,230$810,6200.00%
840441109
SOUTHSTATE CORP
Increased$79,024$3.4M0.00%
737630103
POTLATCHDELTIC CORP
Reduced-$78,880$533,8000.00%
95040Q104
WELLTOWER INC
Increased$78,530$3.1M0.00%
675234108
OCEANFIRST FINANCIAL CORP
Reduced-$77,910$2.9M0.00%
68386H103
OPPFI INC
New$76,600$76,6000.00%
36266G107
GE HEALTHCARE TECHNOLOGY
Reduced-$75,624$293,9570.00%
82509L107
SHOPIFY INC - CLASS A
Increased$75,427$306,2300.00%
854231107
STANDEX INTERNATIONAL CORP
Increased$74,972$14.7M0.00%
90984P303
UNITED COMMUNITY BANKS/GA
Increased$74,290$743,1300.00%
7.597E+111
RENASANT CORP
Increased$71,988$791,8630.00%
56585A102
MARATHON PETROLEUM CORP
Reduced-$71,385$244,8230.00%
410345102
HANESBRANDS INC
Increased$70,705$728,5300.00%
G6964L206
PAYSAFE LTD
Reduced-$70,036$224,6940.00%
319383204
FIRST BUSEY CORP
Reduced-$69,825$671,7450.00%
79466L302
SALESFORCE INC
Increased$69,582$797,3770.00%
84680107
BERKSHIRE HILLS BANCORP INC
Increased$69,013$580,6830.00%
755408101
READING INTERNATIONAL INC-A
Reduced-$68,866$359,1720.00%
205826209
COMTECH TELECOMMUNICATIONS
New$68,170$68,1700.00%
74144T108
T ROWE PRICE GROUP INC
Increased$67,423$3.9M0.00%
13321L108
CAMECO CORP
Increased$67,381$863,3010.00%
31154R109
FARMLAND PARTNERS INC
Increased$66,760$486,7460.00%
63001N106
NCR ATLEOS CORP
Increased$66,585$508,8000.00%
718546104
PHILLIPS 66
Reduced-$66,278$430,9970.00%
64131A105
NEURONETICS INC
Increased$64,635$125,4190.00%
86745KAF1
SUNNOVA ENERGY INTL INC 0.250 12/01/26 CVT
Reduced-$64,564$237,9920.00%
49338L103
KEYSIGHT TECHNOLOGIES IN
Reduced-$64,303$1.4M0.00%
03662Q105
ANSYS INC
Increased$62,349$366,0030.00%
577081102
MATTEL INC
Reduced-$61,644$827,9910.00%
55261F104
M & T BANK CORP
Increased$61,455$3.9M0.00%
2824100
ABBOTT LABORATORIES
Reduced-$58,771$2.5M0.00%
885160101
THOR INDUSTRIES INC
Reduced-$58,138$392,4110.00%
422806208
HEICO CORP-CLASS A
Reduced-$56,576$595,4560.00%
868168105
SUPERIOR INDUSTRIES INTL
Reduced-$56,121$95,8820.00%
29446Y502
EQUINOX GOLD CORP
New$55,973$55,9730.00%
25058X303
DESKTOP METAL INC-A
Reduced-$55,389$55,6260.00%
25179M103
DEVON ENERGY CORP
Reduced-$55,388$283,7040.00%
30257X104
FB FINANCIAL CORP
Increased$54,960$618,1200.00%
18913Y103
CLOUGH GLOBAL DIVIDEND & INC
New$54,300$54,3000.00%
42806J700
HERTZ GLOBAL HLDGS INC
Sold out-$53,539$00.00%
225447AD3
WOLFSPEED INC 1.750 05/01/26 CVT
Increased$52,491$267,0840.00%
931427108
WALGREENS BOOTS ALLIANCE INC
Reduced-$51,935$10.9M0.00%
88830R101
TITAN MACHINERY INC
Increased$51,895$4.2M0.00%
31946M103
FIRST CITIZENS BCSHS -CL A
Increased$51,375$327,5180.00%
428291108
HEXCEL CORP
Increased$49,591$12.5M0.00%
58733R102
MERCADOLIBRE INC
Reduced-$49,212$238,0620.00%
217204106
COPART INC
Increased$48,626$709,9140.00%
464287309
ISHARES S&P 500 GROWTH ETF
Increased$46,240$812,2400.00%
92835K103
VISHAY PRECISION GROUP
Reduced-$46,000$444,2870.00%
465741106
ITRON INC
Increased$45,715$6.1M0.00%
464285204
ISHARES GOLD TRUST
Reduced-$45,580$8.6M0.00%
513272104
LAMB WESTON HOLDINGS INC
Reduced-$45,407$709,2670.00%
718172109
PHILIP MORRIS INTERNATIONAL
Reduced-$45,218$1.7M0.00%
45826H109
INTEGER HOLDINGS CORP
Increased$44,452$2.5M0.00%
318910106
FIRST BANCORP/NC
Increased$44,268$817,8420.00%
76954AAB9
RIVIAN AUTO INC 4.625 03/15/29 CVT
Increased$43,746$315,8610.00%
00508Y102
ACUITY BRANDS INC
Increased$43,440$758,0770.00%
761330109
REVANCE THERAPEUTICS INC
Reduced-$42,911$177,5910.00%
38147U107
GOLDMAN SACHS BDC INC
Reduced-$42,662$310,9700.00%
898402102
TRUSTMARK CORP
Increased$42,600$424,4400.00%
194014502
ENOVIS CORP
Increased$42,155$387,3730.00%
68902V107
OTIS WORLDWIDE CORP
Reduced-$42,148$344,5090.00%
55024UAD1
LUMENTUM HOLDINGS INC 0.500 12/15/26 CVT
Increased$41,402$385,6830.00%
452327109
ILLUMINA INC
Reduced-$41,191$211,8040.00%
18802108
ALLIANT ENERGY CORP
Reduced-$41,092$757,4060.00%
24703L202
DELL TECHNOLOGIES -C
Reduced-$41,027$815,8990.00%
462726100
IROBOT CORP
Reduced-$40,723$299,9250.00%
24906P109
DENTSPLY SIRONA INC
Increased$40,489$1.8M0.00%
828359109
SILVERCREST ASSET MANAGEME-A
Increased$40,240$367,8000.00%
81752R100
SERITAGE GROWTH PROP- A
Reduced-$38,651$1.0M0.00%
83089J108
SKYWATER TECHNOLOGY INC
Reduced-$37,730$414,0000.00%
00162Q452
ALERIAN MLP ETF
Reduced-$37,521$889,9970.00%
963320106
WHIRLPOOL CORP
Increased$37,400$572,4000.00%
531229AQ5
LIBERTY MEDIA CORP 2.250 08/15/27 CVT
Increased$37,029$366,8340.00%
398438408
GRIFOLS SA-ADR
Reduced-$35,980$185,8960.00%
29605J106
ESAB CORP
Increased$35,359$358,8600.00%
12653200
ALBEMARLE CORP 7.250 03/01/27 CVT
Reduced-$34,480$325,5200.00%
57667L107
MATCH GROUP INC
Reduced-$34,263$218,4700.00%
00081T108
ACCO BRANDS CORP
Reduced-$33,120$790,3720.00%
811707801
SEACOAST BANKING CORP/FL
Increased$32,692$1.0M0.00%
9158106
AIR PRODUCTS & CHEMICALS INC
Reduced-$32,204$1.0M0.00%
Y2573F102
FLEX LTD
Increased$31,992$247,6160.00%
577096100
MATTERPORT INC
Increased$31,089$142,9770.00%
302520101
FNB CORP
Increased$30,820$679,8800.00%
6.2886E+112
NCR VOYIX CORP
Reduced-$30,598$379,2160.00%
579780107
MCCORMICK & CO INC VTG COM
Reduced-$30,330$341,1000.00%
G0176J109
ALLEGION PLC
Reduced-$30,120$261,3600.00%
631103108
NASDAQ INC
Increased$29,617$317,2030.00%
668771108
GEN DIGITAL INC
Reduced-$29,082$2.4M0.00%
72814N104
PLAYAGS INC
Increased$28,906$226,8640.00%
389375205
GRAY MEDIA INC-A
Increased$28,765$635,4400.00%
535919500
LIONS GATE ENTERTAINMENT-B
Increased$28,736$180,0070.00%
20451Q104
COMPASS DIVERSIFIED HOLDINGS
Increased$28,457$605,8730.00%
29430C102
VESTIS CORP
Increased$28,456$691,1340.00%
267475101
DYCOM INDUSTRIES INC
Reduced-$27,135$1.0M0.00%
55616P104
MACY'S INC
Reduced-$27,109$240,4060.00%
464287572
ISHARES GLOBAL 100 ETF
Increased$27,048$1.7M0.00%
22948Q101
CTO REALTY GROWTH INC
Increased$26,785$765,1220.00%
644465106
NEW GERMANY FUND
Reduced-$26,116$180,2740.00%
29250N105
ENBRIDGE INC
Increased$25,990$838,7990.00%
934550203
WARNER MUSIC GROUP CORP-CL A
Reduced-$25,465$2.3M0.00%
92537N108
VERTIV HOLDINGS CO-A
Increased$25,351$284,0250.00%
32037111
AMPCO-PITTSBURGH CORP WARRANTS 8/1/25
Reduced-$25,071$155,5900.00%
14040H105
CAPITAL ONE FINANCIAL CORP
Increased$24,877$454,0030.00%
693718108
PACCAR INC
Reduced-$24,867$3.4M0.00%
870875101
SWISS HELVETIA FUND
Reduced-$23,430$120,2000.00%
868873100
SURMODICS INC
Increased$23,027$5.7M0.00%
443510607
HUBBELL INC
Reduced-$22,778$818,9300.00%
36249W104
GABELLI GLOBAL SMALL & M
Reduced-$22,426$369,5560.00%
12504L109
CBRE GROUP INC - A
Increased$22,044$424,9860.00%
172967424
CITIGROUP INC
Reduced-$21,721$3.4M0.00%
42809H107
HESS CORP
Increased$21,563$3.0M0.00%
00206R102
AT&T INC
Increased$21,402$17.4M0.00%
83600C103
SOTHERLY HOTELS INC
Increased$20,709$585,4010.00%
927107409
VILLAGE SUPER MARKET-CLASS A
Increased$20,640$6.6M0.00%
88554D205
3D SYSTEMS CORP
Increased$20,380$183,6800.00%
517834107
LAS VEGAS SANDS CORP
Increased$20,344$4.6M0.00%
78464A763
SPDR S&P DIVIDEND ETF
Reduced-$20,227$268,8240.00%
53332102
AUTOZONE INC
Increased$20,109$1.2M0.00%
291011104
EMERSON ELECTRIC CO
Reduced-$20,034$620,7650.00%
579780206
MCCORMICK & CO-NON VTG SHRS
Reduced-$19,998$251,5920.00%
62957HAL9
NABORS INDUSTRIES INC 1.750 06/15/29 CVT
Reduced-$19,988$287,2760.00%
71880K101
PHINIA INC
Reduced-$19,544$3.2M0.00%
50101L106
KRISPY KREME INC
Reduced-$19,440$238,3200.00%
171340102
CHURCH & DWIGHT CO INC
Reduced-$19,232$19.4M0.00%
464287168
ISHARES SELECT DIVIDEND ETF
Reduced-$18,900$656,4500.00%
84857L101
SPIRE INC
Increased$18,345$613,8620.00%
74346YAG8
PROS HOLDINGS INC 2.250 09/15/27 CVT
Increased$18,033$287,8350.00%
596278101
MIDDLEBY CORP
Reduced-$17,664$650,1600.00%
40416EAF0
HCI GROUP INC 4.750 06/01/42 CVT
Increased$17,476$309,5520.00%
403829104
GYRODYNE LLC
Increased$17,437$129,9870.00%
75886F107
REGENERON PHARMACEUTICALS
Increased$17,339$401,0420.00%
697900108
PAN AMERICAN SILVER CORP USD
Reduced-$17,095$531,7860.00%
92719V100
VIMEO INC
Increased$17,091$81,0240.00%
686688AB8
ORMAT TECHNOLOGIES INC 2.500 07/15/27 CVT
Reduced-$16,695$296,7240.00%
461202103
INTUIT INC
Reduced-$16,432$3.6M0.00%
548661107
LOWE'S COS INC
Reduced-$16,298$881,5700.00%
165303108
CHESAPEAKE UTILITIES CORP
Reduced-$15,792$679,5600.00%
16119P108
CHARTER COMMUNICATIONS INC-A
Reduced-$14,923$1.1M0.00%
09257W100
BLACKSTONE MORTGAGE TRU-CL A
Reduced-$14,604$650,1760.00%
10950A205
BRIGHTSPRING HEALTH SERV 6.750 02/01/27 CVT
Reduced-$14,580$375,6000.00%
404030108
H&E EQUIPMENT SERVICES INC
Reduced-$14,400$1.7M0.00%
10482B101
BRAEMAR HOTELS & RESORTS INC
Reduced-$14,148$471,6000.00%
72919P202
PLUG POWER INC
Reduced-$13,900$42,6000.00%
30034T103
EVERI HOLDINGS INC
Increased$13,635$291,5460.00%
580135101
MCDONALD'S CORP
Reduced-$13,366$591,0860.00%
42824C208
HP ENTERPRISE CO 7.625 09/01/27 CVT
Increased$13,200$376,2600.00%
G3934V109
GENIUS SPORTS LTD
Reduced-$12,455$160,0250.00%
45866F104
INTERCONTINENTAL EXCHANGE IN
Increased$12,265$231,8600.00%
780259305
SHELL PLC-ADR
Reduced-$12,101$629,1310.00%
59156R108
METLIFE INC
Reduced-$12,090$1.6M0.00%
382550101
GOODYEAR TIRE & RUBBER CO
Reduced-$11,865$1.9M0.00%
184496107
CLEAN HARBORS INC
Reduced-$11,570$230,1400.00%
00971TAL5
AKAMAI TECHNOLOGIES INC 0.375 09/01/27 CVT
Reduced-$11,552$402,1760.00%
69608A108
PALANTIR TECHNOLOGIES INC-A
Increased$11,470$4.3M0.00%
912909108
UNITED STATES STEEL CORP
Reduced-$11,405$997,2670.00%
1.4575E+109
CARS.COM INC
Increased$11,400$346,6000.00%
48253L205
KLX ENERGY SERVICES HOLDING
Reduced-$11,270$114,5400.00%
89214P109
TOWNE BANK
Increased$11,000$374,6600.00%
46433108
ASTRONICS CORP
Increased$10,804$260,1480.00%
87807B107
TC ENERGY CORP
Reduced-$10,200$465,3000.00%
803607AD2
SAREPTA THERAPEUTICS INC 1.250 09/15/27 CVT
Reduced-$10,080$331,3200.00%
881624209
TEVA PHARMACEUTICAL-SP ADR
Reduced-$9,770$2.3M0.00%
303075105
FACTSET RESEARCH SYSTEMS INC
Reduced-$9,414$751,6380.00%
200340107
COMERICA INC
Increased$9,113$1.1M0.00%
60871R209
MOLSON COORS BEVERAGE CO - B
Reduced-$9,010$933,7430.00%
464288760
ISHARES U.S. AEROSPACE & DEF
Reduced-$8,580$290,7000.00%
879382208
TELEFONICA SA-SPON ADR
Reduced-$8,400$40,2000.00%
70450Y103
PAYPAL HOLDINGS INC
Increased$8,398$836,6860.00%
855244109
STARBUCKS CORP
Reduced-$8,390$260,9750.00%
30063PAB1
EXACT SCIENCES CORP 0.375 03/15/27 CVT
Reduced-$8,360$185,9920.00%
19623P101
COLONY BANKCORP
Increased$7,936$206,5920.00%
665531AJ8
NORTHERN OIL & GAS INC 3.625 04/15/29 CVT
Increased$7,806$352,2450.00%
345370860
FORD MOTOR CO
Reduced-$7,722$115,8300.00%
36240A184
GABELLI UTILITY TRUST RIGHTS
Sold out-$7,586$00.00%
397624206
GREIF INC-CL B
Increased$7,531$220,5130.00%
55933J203
MAGNACHIP SEMICONDUCTOR CORP
Reduced-$7,378$45,6270.00%
440407104
HORIZON BANCORP INC/IN
Increased$7,280$209,4300.00%
758075AF2
REDWOOD TRUST INC 7.750 06/15/27 CVT
Reduced-$7,263$294,1920.00%
74167B109
PRIMIS FINANCIAL CORP
Reduced-$5,720$128,2600.00%
758849103
REGENCY CENTERS CORP
Increased$5,509$3.4M0.00%
25787G100
DONNELLEY FINANCIAL SOLUTION
Increased$5,024$864,1060.00%
69352PAS2
PPL CAPITAL FUNDING INC 2.875 03/15/28 CVT
Reduced-$4,947$313,3800.00%
26874784
AMERICAN INTERNATIONAL GROUP
Reduced-$4,816$815,3600.00%
496902404
KINROSS GOLD CORP
Reduced-$4,757$4.8M0.00%
828806109
SIMON PROPERTY GROUP INC
Reduced-$4,528$211,8180.00%
493267108
KEYCORP
Increased$4,463$196,1500.00%
36261K509
GABELLI COMMERCIAL AEROSPACE & DEFENSE ETF
Increased$4,029$3.8M0.00%
26875P101
EOG RESOURCES INC
Reduced-$3,799$254,3540.00%
68375N103
OPKO HEALTH INC
Reduced-$3,500$257,2500.00%
02005N100
ALLY FINANCIAL INC
Increased$3,360$288,0800.00%
29362U104
ENTEGRIS INC
Reduced-$3,327$2.1M0.00%
84920Y106
SPORTSMAN'S WAREHOUSE HOLDIN
Reduced-$3,308$1.5M0.00%
872540109
TJX COMPANIES INC
Increased$3,116$332,2280.00%
88579Y101
3M CO
Reduced-$2,970$1.6M0.00%
92840M102
VISTRA CORP
Reduced-$2,957$317,1010.00%
14057J101
CAPITOL FEDERAL FINANCIAL IN
Increased$2,765$233,4450.00%
71734107
BAUSCH HEALTH COS INC
Reduced-$2,463$8.7M0.00%
45667G103
INFINERA CORP
Increased$2,447$535,7050.00%
04911A107
ATLANTIC UNION BANKSHARES CO
Increased$2,415$435,6200.00%
50186A132
LGL GROUP INC/THE -CW25
Increased$2,130$92,7480.00%
149123101
CATERPILLAR INC
Increased$2,098$213,3030.00%
04271TAB6
ARRAY TECHNOLOGIES INC 1.000 12/01/28 CVT
Reduced-$1,610$368,8250.00%
15658107
ALGOMA STEEL GROUP INC
Reduced-$893$319,5620.00%
8252108
AFFILIATED MANAGERS GROUP
Increased$732$480,7920.00%
16115Q407
CHART INDUSTRIES INC 6.750 12/15/25 SR:B CVT
Increased$650$352,4000.00%
78518H202
SABA CAPITAL INC-OPP
Increased$300$76,2000.00%
87256C101
TKO GROUP HOLDINGS INC
Reduced-$272$3.1M0.00%
866082100
SUMMIT HOTEL PROPERTIES INC
Reduced-$135$92,4750.00%

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