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Reported Holdings Of The
Adirondack Research & Management Inc

Legal Name: ADIRONDACK RESEARCH & MANAGEMENT INC.

Period of report: Jun 30, 2019
Effectiveness Date: Aug 6, 2019

Security Shares Held / Principal Amount Market Value Option
ALLSCRIPTS HEALTHCARE SOLUTN (01988P108) 443,920 $5,163k
VONAGE HLDGS CORP (92886T201) 412,419 $4,673k
COVANTA HOLDINGS (22282E102) 257,865 $4,618k
OWENS ILL INC (690768403) 267,279 $4,616k
ADTRAN INC (00738A106) 296,055 $4,515k
NATIONAL WESTERN LIFE GROUP (638517102) 17,510 $4,500k
TRIUMPH GROUP INC NEW (896818101) 181,683 $4,161k
PATTERSON COMPANIES INC (703395103) 151,530 $3,470k
ARDMORE SHIPPING CORP (Y0207T100) 410,337 $3,344k
CLEVELAND CLIFFS INC (185899101) 295,656 $3,155k
Seaboard Corp (811543107) 742 $3,069k
OAKTREE CAP GROUP (674001201) 61,745 $3,059k
MR COOPER INC (62482R107) 378,944 $3,035k
Conseco Inc (12621E103) 180,197 $3,006k
SOUTHWESTERN ENERGY (845467109) 945,121 $2,987k
AEROHIVE NETWORKS INC (007786106) 671,480 $2,975k
MFA Financial Inc (55272X102) 409,293 $2,939k
CELESTICA INC (15101Q108) 424,832 $2,902k
SANMINA CORPORATION (801056102) 93,045 $2,817k
JETBLUE AIRWAYS CORP (477143101) 142,005 $2,626k
Alcoa Corp (013872106) 111,620 $2,613k
MGIC INVT CORP WIS (552848103) 198,682 $2,611k
STEWART INFORMATION SERVICES (860372101) 61,208 $2,478k
DONNELLEY FINANCIAL SOLUTION (25787G100) 182,424 $2,434k
OFFICE DEPOT INC (676220106) 1,158,881 $2,387k
CONDUENT INCORPORATE (206787103) 227,809 $2,185k
ACCURAY INC (004397105) 532,262 $2,060k
CECO ENVIRONMENTAL CORP (125141101) 209,344 $2,008k
SEACOR HOLDINGS INC (811904101) 38,910 $1,849k
KNOWLES CORPORATION (49926D109) 96,285 $1,763k
GENWORTH FINANCIAL (37247D106) 451,736 $1,676k
SCHNITZER STL (806882106) 56,866 $1,488k
LSI INDS INC (50216C108) 404,837 $1,478k
CARRIZO OIL & GAS INC (144577103) 143,900 $1,442k
VISHAY INTERTECHNOLOGY INC (928298108) 86,611 $1,431k
BROOKLINE BANCORP IN (11373M107) 92,360 $1,420k
GRAY TELEVISION INC (389375106) 83,655 $1,371k
INVESTORS REAL ESTATE TR (461730103) 22,950 $1,346k
Clarus Corp (18270P109) 92,692 $1,338k
Manitex International (563420108) 207,815 $1,270k
Ferroglobe PLC (G33856108) 737,433 $1,254k
COMPASS DVRSFD HLDS (20451Q104) 60,706 $1,160k
LYDALL INC DEL (550819106) 54,298 $1,097k
A10 NETWORKS INC (002121101) 160,517 $1,095k
Ensco Rowan plc (G3166L100) 116,971 $998k
TETRA TECHNOLOGIES INC (88162F105) 611,988 $998k
INFINERA CORPORATION (45667G103) 333,990 $972k
HILL INTERNATIONAL INC (431466101) 355,672 $960k
TRINITY BIOTECH PLC SPONSORED (896438306) 524,689 $866k
COWEN INC (223622606) 50,135 $862k
SEAWORLD ENTMT INC (81282V100) 25,380 $787k
LIMELIGHT NETWORKS INC (53261M104) 286,400 $773k
VERRA MOBILITY CORP (92511U102) 58,420 $765k
HARVARD BIOSCIENCE INC (416906105) 367,442 $735k
WESTLAKE CHEM PARTNERS COM UNIT RP LP (960417103) 29,626 $729k
PBF LOGISTICS LP (69318Q104) 33,345 $705k
MICROSOFT CORP (594918104) 5,005 $670k
Archer-Daniels-Midland Co (039483102) 16,333 $666k
Aramark Holdings Corp. (03852U106) 18,402 $664k
HESS MIDSTREAM PARTNERS LP (428104103) 32,596 $636k
TRAVELCENTERS AMER LLC (894174101) 168,679 $611k
NOKIA CORP (654902204) 118,272 $593k
BOSTON SCIENTIFIC (101137107) 13,665 $587k
Flaherty & Crumrine Dynamic (33848W106) 25,350 $577k
CSS INDS INC (125906107) 117,635 $574k
HARTFORD FINL SVCS (416515104) 8,455 $471k
ANTERO RES CORP (03674X106) 81,795 $452k
KIMBELL RTY PARTNERS LP (49435R102) 27,861 $450k
METLIFE INC (59156R108) 8,953 $445k
AT&T INC (00206R102) 13,206 $443k
EXELON CORP (30161N101) 9,200 $441k
RED LION HOTELS CORP (756764106) 59,042 $420k
NUANCE COMMUNICATION (67020Y100) 25,955 $415k
PFIZER INC (717081103) 8,985 $389k
Teck Resources Ltd (878742204) 16,305 $376k
INVACARE CORP (461203101) 71,318 $370k
COCA-COLA EU PARTNRS (G25839104) 6,435 $364k
CONSOLDTD EDISON INC (209115104) 4,155 $364k
ORION ENERGY SYSTEMS INC (686275108) 122,130 $363k
Tyson Foods (TSN) (902494103) 4,211 $340k
TRUSTCO BK CORP N Y (898349105) 40,295 $319k
CRAWFORD & CO (224633206) 27,980 $295k
VANGUARD SCOTTSDALE FDS SHRT TRM CORP BD (92206C409) 3,600 $290k
Key Tronic Inc (493144109) 56,919 $283k
ABBOTT LABS (002824100) 3,340 $281k
CISION LTD (G1992S109) 23,830 $280k
ProShares Short Russell2000 (74348A210) 7,000 $279k
TRINITY INDUSTRIES INC (896522109) 13,221 $274k
JAKKS PAC INC (47012e106) 383,955 $269k
NEWELL BRANDS INC (651229106) 16,673 $257k
MONDELEZ INTL INC (609207105) 4,740 $255k
FLY LEASING LTD (34407D109) 14,021 $244k
ARCOSA INC (039653100) 6,020 $227k
DuPont de Nemours Inc (26614N102) 2,952 $222k
JOHNSON & JOHNSON (478160104) 1,558 $217k
GENERAL ELECTRIC CO (369604103) 20,458 $215k
THESTREET INC (88368Q103) 32,000 $196k
PURECYCLE CORP (746228303) 17,437 $185k
Superior Drilling Products Inc (868153107) 175,926 $178k
QuickLogic Corporation (74837P108) 21,800 $13k

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