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Reported Holdings Of The
Cramer Rosenthal Mcglynn LLC

Legal Name: CRAMER ROSENTHAL MCGLYNN LLC

Period of report: Jun 30, 2019
Effectiveness Date: Aug 13, 2019

Security Shares Held / Principal Amount Market Value Option
HANCOCK WHITNEY CORPORATION CO (410120109) 2,650,587 $106,183k
CARLISLE COS INC (142339100) 715,361 $100,444k
TRINET GROUP INC (896288107) 1,467,091 $99,469k
RPM INTERNATIONAL (749685103) 1,470,121 $89,839k
ASSOCIATED BANC CORP (045487105) 4,044,863 $85,508k
BANKUNITED INC (06652K103) 2,389,195 $80,611k
CLEAN HARBORS INC (184496107) 1,123,994 $79,916k
Black Hills Corp. (092113109) 977,875 $76,440k
CLARIVATE ANALYTICS PLC (G21810109) 4,947,924 $76,099k
PERFORMANCE FOOD GRP (71377A103) 1,841,040 $73,697k
G-III APPAREL GROUP (36237H101) 2,464,870 $72,516k
COTT CORP QUE (22163N106) 5,428,725 $72,473k
SERVICEMASTER GBL (81761R109) 1,344,486 $70,034k
PTC INC (69370C100) 736,821 $66,137k
GRACE W R & CO DEL (38388F108) 773,902 $58,902k
COUSINS PROPERTIES INC (222795502) 1,576,483 $57,021k
EQUINIX INC (29444U700) 112,593 $56,780k
PVH CORP (693656100) 595,902 $56,396k
BIO RAD LABS INC (090572207) 174,005 $54,392k
NISOURCE INC (65473P105) 1,810,412 $52,140k
EXPEDIA GROUP INC (30212P303) 364,711 $48,518k
REGIS CORP MINN (758932107) 2,866,275 $47,580k
DOVER CORP (260003108) 470,626 $47,157k
GCP APPLIED TECHNOLOGIES INC (36164Y101) 2,046,557 $46,334k
APERGY CORP (03755L104) 1,314,015 $44,072k
MICROSOFT CORP (594918104) 327,739 $43,904k
Albany International Corp (012348108) 519,338 $43,058k
EQUITY COMMONWEALTH (294628102) 1,294,857 $42,109k
TREEHOUSE FOODS INC (89469A104) 774,129 $41,880k
EQUITRANS MIDSTREAM CORPORAT (294600101) 2,122,648 $41,837k
FLIR Systems Inc (302445101) 766,732 $41,480k
American Financial Group, Inc. (025932104) 395,932 $40,571k
THE HANOVER INS GRP (410867105) 314,124 $40,302k
Natus Medical Inc (639050103) 1,534,996 $39,434k
ANTHEM INC (036752103) 134,564 $37,975k
Selective Insurance Group Inc (816300107) 501,841 $37,583k
AMERICAN WTR WKS CO (030420103) 317,236 $36,799k
DANAHER CORP (235851102) 251,580 $35,956k
SPX Flow Inc (78469X107) 842,707 $35,276k
Atmos Energy Corp (049560105) 330,946 $34,935k
DOUGLAS EMMETT INC (25960P109) 852,185 $33,951k
American International Group (026874784) 637,056 $33,942k
Teledyne Technologies Inc (879360105) 121,079 $33,160k
STIFEL FINL CORP (860630102) 559,712 $33,057k
CREE INC (225447101) 572,513 $32,164k
Curtiss Wright Corp (231561101) 251,505 $31,974k
BancorpSouth Bank (05971J102) 1,091,193 $31,688k
AIR PRODS & CHEMS INC (009158106) 138,824 $31,426k
NESTLE S A (641069406) 302,312 $31,259k
IHS MARKIT LTD (G47567105) 487,689 $31,076k
XYLEM INC (98419M100) 369,992 $30,946k
TE CONNECTIVITY (H84989104) 319,476 $30,599k
Diamondback Energy Inc (25278X109) 277,922 $30,285k
Nasdaq Inc (631103108) 313,035 $30,105k
COOPER COMPANIES INC (216648402) 88,519 $29,821k
COMMVAULT SYSTEMS INC (204166102) 593,166 $29,433k
Callon Petroleum Co (13123X102) 4,448,681 $29,317k
HORACE MANN EDUCATORS CORP NEW COM (440327104) 683,713 $27,547k
DXC TECHNOLOGY CO (23355L106) 477,664 $26,343k
MUELLER WTR PRODS (624758108) 2,540,121 $24,944k
Coca-Cola Consolidated Inc (191098102) 81,339 $24,341k
SPX CORP. (784635104) 726,397 $23,986k
Capitol Federal Financial (14057J101) 1,709,438 $23,539k
UNITED TECHNOLOGIES (913017109) 180,613 $23,516k
AMERICAN ASSETS TRUST INC (024013104) 490,433 $23,109k
CORPORATE OFFICE PROPERTIES (22002T108) 874,496 $23,060k
STERIS PLC (G8473T100) 150,350 $22,384k
BROADCOM INC (11135F101) 77,362 $22,269k
MICROCHIP TECHNOLOGY (595017104) 255,231 $22,129k
PARSLEY ENERGY INC (701877102) 1,129,078 $21,464k
NEXTERA ENERGY INC (65339F101) 99,744 $20,434k
JOHN BEAN TECHNOLOGIES CORP CO (477839104) 168,670 $20,431k
SOUTHWEST GAS CORP (844895102) 222,122 $19,907k
ACTUANT CORPORATION (00508X203) 786,151 $19,504k
TFS FINL CORP (87240R107) 1,072,134 $19,373k
BANK HAWAII CORP (062540109) 229,677 $19,043k
ENVESTNET INC (29404K106) 274,038 $18,736k
BRIGHTCOVE INC COM USD0.001 (10921T101) 1,768,614 $18,270k
AMETEK INC (031100100) 199,166 $18,092k
LUMENTUM HLDGS INC (55024U109) 310,647 $16,592k
VONAGE HLDGS CORP (92886T201) 1,460,929 $16,552k
ADVANCED DRAIN SYS INC DEL (00790R104) 501,475 $16,443k
MOHAWK INDS INC (608190104) 111,328 $16,418k
JELD-WEN HLDG INC (47580P103) 752,494 $15,975k
DISNEY WALT CO (254687106) 111,520 $15,573k
EXTREME NETWORKS INC (30226D106) 2,402,813 $15,546k
JOHNSON & JOHNSON (478160104) 109,750 $15,286k
Amalgamated Bank (022663108) 857,740 $14,968k
ACADIA REALTY TRUST (004239109) 544,945 $14,915k
ORITANI FINL CRP DEL (68633D103) 790,465 $14,023k
PHILIP MORRIS INTL (718172109) 175,123 $13,752k
VULCAN MATERIALS CO (929160109) 96,048 $13,188k
TUFIN SOFTWARE TECHNOLOGIES (M8893U102) 490,945 $12,711k
LKQ CORP (501889208) 443,025 $11,789k
MRC GLOBAL INC. (55345k103) 663,802 $11,364k
HUMANA INC (444859102) 39,903 $10,586k
Houghton Mifflin Harcourt Company (44157R109) 1,816,513 $10,463k
ALTAIR ENGINEERING INC - A (021369103) 243,286 $9,826k
CSX CORP (126408103) 124,535 $9,635k
AMBER RD INC COM (02318Y108) 714,308 $9,329k
ELF BEAUTY INC (26856L103) 578,060 $8,151k
KEANE GROUP INC (48669A108) 1,092,740 $7,343k
CDN NATL RAILWAY (136375102) 78,240 $7,236k
DIAMONDROCK HOSPITALITY CO (252784301) 559,862 $5,789k
HONEYWELL INTL INC (438516106) 5,000 $873k
PROCTER & GAMBLE CO (742718109) 7,292 $800k
PEPSICO INC (713448108) 5,000 $656k
Exxon Mobil Corp (30231G102) 5,750 $441k
COCA-COLA CO (191216100) 8,000 $407k
STATE STREET CORP (857477103) 6,690 $375k
CIGNA CORP (125523100) 1,000 $158k
Berkshire Hathaway, Inc. (084670702) 500 $107k
GENERAL ELECTRIC CO (369604103) 8,246 $87k
BAXTER INTL INC (071813109) 600 $49k
INTL BUSINESS MCHN (459200101) 65 $9k
CBS CORPORATION (124857202) 162 $8k
VIACOM INC NEW (92553P201) 162 $5k

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