Holdings Channel
EntityShares/Amount
Change
Position Value
Change
SFNC +183,800+$3,577
ARCH +15,100+$2,428
DNOW +92,700+$1,409
XOM +10,100+$1,174
GLNG +43,600+$1,049
CPE +20,500+$733
GES +16,500+$519
TWI +40,600+$506
SB +100,400+$498
GEHC +5,000+$455
EntityShares/Amount
Change
Position Value
Change
ENVA -87,500-$4,844
STC -52,400-$3,078
BZH -80,600-$2,723
NHC -18,400-$1,701
WS -59,857-$1,682
TGH -33,900-$1,668
FBK -22,100-$881
COOP -13,200-$860
BANR -12,600-$675
NRIX -57,500-$593
EntityShares/Amount
Change
Position Value
Change
GNW +218,000+$1,324
NAVI +151,900+$2,483
ASRT +122,500+$112
VGR +95,600+$1,039
SD +80,500+$1,256
BSIG +78,347+$2,079
FLNG +69,300+$1,722
MOV +63,800+$1,709
SEM +61,700+$2,284
FFBC +58,600+$1,106
EntityShares/Amount
Change
Position Value
Change
SATS -85,956-$1,424
ESNT -85,000-$4,482
GOGL -82,300+$447
PRDO -60,300-$1,059
VSTO -57,871-$1,711
CUBI -50,600-$3,072
DFH -38,433-$465
BFH -38,228-$764
NMRK -36,800-$343
Size ($ in 1000's)
At 03/31/2024: $339,641
At 12/31/2023: $327,274

Denali Advisors LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Denali Advisors LLC 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Denali Advisors LLC
As of  03/31/2024, we find all stocks held by Denali Advisors LLC to be as follows, presented in the table below with each row detailing each Denali Advisors LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Denali Advisors LLC table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Denali Advisors LLC as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
Jackson Financial 91,200 -4,800 $6,032
     JXN91,200-4,800$6,032
Gulfport Energy Corp 35,600 +2,400 $5,700
     GPOR35,600+2,400$5,700
Bluelinx Holdings 43,443 -10,218 $5,658
     BXC43,443-10,218$5,658
Victory Capital Holdings Inc 131,938 -5,500 $5,598
     VCTR131,938-5,500$5,598
Rush Enterprises Inc 104,085 -474 $5,571
     RUSHA104,085-474$5,571
Enact Holdings Inc 175,366 +14,100 $5,468
     ACT175,366+14,100$5,468
Century Communities Inc. 55,573 -8,165 $5,363
     CCS55,573-8,165$5,363
Greif Inc cl A 77,313 +13,018 $5,338
     GEF77,313+13,018$5,338
Ryerson Holding Corporation 159,186 +15,151 $5,333
     RYI159,186+15,151$5,333
Forestar Group 131,302 +49,574 $5,277
     FOR131,302+49,574$5,277
Newmark Group 469,729 -36,800 $5,209
     NMRK469,729-36,800$5,209
Sylvamo Corp 83,200 -5,700 $5,137
     SLVM83,200-5,700$5,137
Costamare Inc 450,495 UNCH $5,113
     CMRE450,495UNCH$5,113
First Merchants Corp 146,377 +39,577 $5,109
     FRME146,377+39,577$5,109
PC Connection Inc. 76,812 -488 $5,064
     CNXN76,812-488$5,064
Golden Ocean Group 390,558 -82,300 $5,062
     GOGL390,558-82,300$5,062
Worthington Industries 81,021 +21,164 $5,042
     WOR81,021+21,164$5,042
Ingles Markets cl A 65,495 +10,919 $5,022
     IMKTA65,495+10,919$5,022
Innoviva Inc. 326,086 -3,100 $4,970
     INVA326,086-3,100$4,970
Heartland Financial USA 140,096 -4,070 $4,924
     HTLF140,096-4,070$4,924
Navient Corporation 283,000 +151,900 $4,924
     NAVI283,000+151,900$4,924
First Financial Bancorp OH 214,600 +58,600 $4,811
     FFBC214,600+58,600$4,811
Dream Finders Homes Inc 109,810 -38,433 $4,802
     DFH109,810-38,433$4,802
Dillards Inc cl A 9,920 +14 $4,679
     DDS9,920+14$4,679
Buckle Inc. 114,350 +3,100 $4,605
     BKE114,350+3,100$4,605
PBF Energy Inc cl A 79,763 UNCH $4,592
     PBF79,763UNCH$4,592
Nelnet Inc 48,510 UNCH $4,591
     NNI48,510UNCH$4,591
Graham Holdings Company 5,802 +5,400 $4,454
     GHC5,802+5,400$4,454
Bank of NT Butterfield LTD 137,266 -18,490 $4,391
     NTB137,266-18,490$4,391
Bread Financial Holdings 115,174 -38,228 $4,289
     BFH115,174-38,228$4,289
National Beverage Corp 84,600 UNCH $4,015
     FIZZ84,600UNCH$4,015
PennyMac Financial Service Inc 41,600 +26,700 $3,789
     PFSI41,600+26,700$3,789
Select Medical Holdings Corp 125,483 +61,700 $3,783
     SEM125,483+61,700$3,783
1st Source Corporation 71,500 +16,900 $3,748
     SRCE71,500+16,900$3,748
Brightsphere Investment Group 157,091 +78,347 $3,588
     BSIG157,091+78,347$3,588
Simmons First National Corp 183,800 +183,800 $3,577
     SFNC183,800+183,800$3,577
Merchants Bancorp 81,313 +680 $3,511
     MBIN81,313+680$3,511
Hope Bancorp 297,700 +14,200 $3,427
     HOPE297,700+14,200$3,427
Genworth Financial Inc 530,300 +218,000 $3,410
     GNW530,300+218,000$3,410
Sandy Spring Bancorp Inc. 133,544 -9,256 $3,096
     SASR133,544-9,256$3,096
Perdoceo Education Corp 164,700 -60,300 $2,892
     PRDO164,700-60,300$2,892
Enstar Group Limited 9,200 UNCH $2,859
     ESGR9,200UNCH$2,859
Smith & Wesson Brands 164,116 +48,700 $2,849
     SWBI164,116+48,700$2,849
Alexanders Inc. 12,900 +2,100 $2,801
     ALX12,900+2,100$2,801
Highpeak Energy 177,500 -34,000 $2,799
     HPK177,500-34,000$2,799
Peabody Energy Corp 113,225 +11,825 $2,747
     BTU113,225+11,825$2,747
AMC Networks Inc. cl A 224,200 -59 $2,720
     AMCX224,200-59$2,720
Movado Group Inc. 96,400 +63,800 $2,692
     MOV96,400+63,800$2,692
Sandridge Energy Inc. 172,800 +80,500 $2,518
     SD172,800+80,500$2,518
Amkor Technology Inc 76,226 -15,975 $2,458
     AMKR76,226-15,975$2,458
Arch Resources Inc 15,100 +15,100 $2,428
     ARCH15,100+15,100$2,428
Universal Logistics Holdings 62,731 UNCH $2,313
     ULH62,731UNCH$2,313
Sonic Automotive Inc. 36,700 +8,900 $2,090
     SAH36,700+8,900$2,090
Flex LNG Ltd 80,600 +69,300 $2,050
     FLNG80,600+69,300$2,050
Shoe Carnival Inc. 55,100 +18,000 $2,019
     SCVL55,100+18,000$2,019
Haverty Furniture 56,400 +21,400 $1,924
     HVT56,400+21,400$1,924
Matson Inc. 17,057 -11,066 $1,917
     MATX17,057-11,066$1,917
Customers Bancorp Inc 34,344 -50,600 $1,822
     CUBI34,344-50,600$1,822
Global Industrial Co. 39,522 UNCH $1,770
     GIC39,522UNCH$1,770
Gray Television Inc 279,919 +92 $1,769
     GTN279,919+92$1,769
Hovnanian Enterprises Inc. 10,906 +5,106 $1,712
     HOV10,906+5,106$1,712
Republic Bancorp KY 30,400 -6,300 $1,550
     RBCAA30,400-6,300$1,550
Dnow Inc 92,700 +92,700 $1,409
     DNOW92,700+92,700$1,409
Johnson Outdoors Inc. 30,300 +1,900 $1,397
     JOUT30,300+1,900$1,397
Silverbow Resources 40,600 +15,600 $1,386
     SBOW40,600+15,600$1,386
Weis Markets Inc. 21,400 UNCH $1,378
     WMK21,400UNCH$1,378
CVR Energy Inc. 37,572 -7,700 $1,340
     CVI37,572-7,700$1,340
Vector Group Ltd. 121,200 +95,600 $1,328
     VGR121,200+95,600$1,328
JPMorgan Chase & Co. 6,100 -600 $1,222
     JPM6,100-600$1,222
Berkshire Hathaway cl B      $1,220
     BRK.B2,900-300$1,220
USANA Health Sciences Inc. 24,700 -22,400 $1,198
     USNA24,700-22,400$1,198
Exxon Mobil Corporation 10,100 +10,100 $1,174
     XOM10,100+10,100$1,174
QCR Holdings Inc. 18,600 +9,800 $1,130
     QCRH18,600+9,800$1,130
Geo Group Inc 79,200 -36,400 $1,118
     GEO79,200-36,400$1,118
Alphabet Inc. Class A 7,100 +400 $1,072
     GOOGL7,100+400$1,072
Corebridge FInancial 37,249 +12,815 $1,070
     CRBG37,249+12,815$1,070
Golar LNG Ltd 43,600 +43,600 $1,049
     GLNG43,600+43,600$1,049
Bank of America Corp 27,500 -1,800 $1,043
     BAC27,500-1,800$1,043
Medifast Inc 26,413 +4,600 $1,012
     MED26,413+4,600$1,012
TTEC Holdings Inc. 97,293 UNCH $1,009
     TTEC97,293UNCH$1,009
American Intl Group Inc. 12,400 +1,800 $969
     AIG12,400+1,800$969
Chevron Corp 6,100 +4,400 $962
     CVX6,100+4,400$962
Kronos Worldwide Inc. 80,700 -34,500 $952
     KRO80,700-34,500$952
Standard Motor Products 28,200 +11,200 $946
     SMP28,200+11,200$946
HP Inc. 31,207 +2,690 $943
     HPQ31,207+2,690$943
Lennar Corp cl A 5,427 -902 $933
     LEN5,427-902$933
Nucor Corporation 4,619 -1 $914
     NUE4,619-1$914
Westlake Corporation 5,925 UNCH $905
     WLK5,925UNCH$905
Goldman Sachs Group Inc 2,100 -100 $877
     GS2,100-100$877
LyondellBasell Industries cl A 8,341 +203 $853
     LYB8,341+203$853
AFLAC INC COM 9,836 -5 $845
     AFL9,836-5$845
First Internet Bancorp 24,300 UNCH $844
     INBK24,300UNCH$844
First Busey Corporation 34,900 +33,800 $839
     BUSE34,900+33,800$839
Marine Products Corp 70,600 +15,300 $830
     MPX70,600+15,300$830
Verizon Communications Inc. 19,600 -1,700 $822
     VZ19,600-1,700$822
Weyerhaeuser Co 22,896 +1,709 $822
     WY22,896+1,709$822
General Motors Company 18,100 +1,100 $821
     GM18,100+1,100$821
Pfizer Inc. 29,200 +3,100 $810
     PFE29,200+3,100$810
HCA Holdings Inc. 2,400 +300 $800
     HCA2,400+300$800
Thryv Holdings 35,640 -33,600 $792
     THRY35,640-33,600$792
Koppers Holdings Inc. 14,000 -4,600 $772
     KOP14,000-4,600$772
Atlanticus Holdings 26,040 +1,285 $771
     ATLC26,040+1,285$771
CNO Financial Group Inc. 28,000 +13,100 $769
     CNO28,000+13,100$769
Karat Packaging 26,600 -5,000 $761
     KRT26,600-5,000$761
Callon Petroleum Co. 20,500 +20,500 $733
     CPE20,500+20,500$733
Village Super Market 25,400 UNCH $727
     VLGEA25,400UNCH$727
Amalgamated Financial 30,000 +14,300 $720
     AMAL30,000+14,300$720
TD Synnex Corporation 6,214 -100 $703
     SNX6,214-100$703
Bunge Limited 6,825 UNCH $700
     BG6,825UNCH$700
Albertsons Companies 32,446 +32,440 $696
     ACI32,446+32,440$696
Southern Copper Corp. 6,400 -700 $682
     SCCO6,400-700$682
Embecta Corp 50,800 -11,349 $674
     EMBC50,800-11,349$674
Discover Financial Services 5,116 -1,707 $671
     DFS5,116-1,707$671
Premier Financial 33,000 +1,500 $670
     PFC33,000+1,500$670
Marathon Petroleum Corp 3,300 UNCH $665
     MPC3,300UNCH$665
Paccar Inc. 5,300 +900 $657
     PCAR5,300+900$657
Heidrick & Struggles 19,500 UNCH $656
     HSII19,500UNCH$656
Mercantile Bank Corp 17,000 +9,500 $654
     MBWM17,000+9,500$654
NVR Inc. 80 +15 $648
     NVR80+15$648
ConnectOne Bancorp Inc 33,100 UNCH $645
     CNOB33,100UNCH$645
Amdocs Limited 6,911 -298 $625
     DOX6,911-298$625
Penske Automotive Group Inc. 3,856 +1,205 $625
     PAG3,856+1,205$625
Capital One Financial Corp. 4,100 -2,300 $610
     COF4,100-2,300$610
Landsea Homes Corp 40,100 UNCH $583
     LSEA40,100UNCH$583
Principal Financial Group Inc. 6,648 +4,800 $574
     PFG6,648+4,800$574
Fidelity National Fin Inc. 10,638 -3,721 $565
     FNF10,638-3,721$565
Rocky Brands Inc 20,832 UNCH $565
     RCKY20,832UNCH$565
Expeditors International of WA 4,609 +504 $560
     EXPD4,609+504$560
Hamilton Beach Brands 22,500 +7,500 $548
     HBB22,500+7,500$548
Cooper Companies Inc. 5,308 +4,308 $539
     COO5,308+4,308$539
Guess Inc. 16,500 +16,500 $519
     GES16,500+16,500$519
Cheniere Energy Inc 3,200 UNCH $516
     LNG3,200UNCH$516
WesBanco Inc. 17,300 -1,400 $516
     WSBC17,300-1,400$516
Preformed Line Products 4,000 +1,100 $515
     PLPC4,000+1,100$515
Snap On Inc. 1,709 -800 $506
     SNA1,709-800$506
Titan International Inc. 40,600 +40,600 $506
     TWI40,600+40,600$506
Natural Grocers By Vitamin Cottage Inc 27,700 UNCH $500
     NGVC27,700UNCH$500
Safe Bulkers 100,400 +100,400 $498
     SB100,400+100,400$498
R C M Technologies 22,500 UNCH $481
     RCMT22,500UNCH$481
General Dynamics Corp. 1,700 UNCH $480
     GD1,700UNCH$480
Arrow Electronics Inc 3,626 -686 $469
     ARW3,626-686$469
CORE Molding Tech 24,700 +5,200 $468
     CMT24,700+5,200$468
Equity Bancshares (EQBK) 13,600 +7,200 $467
     EQBK13,600+7,200$467
GE Healthcare Technologies 5,000 +5,000 $455
     GEHC5,000+5,000$455
Williams Sonoma Inc. 1,403 -602 $445
     WSM1,403-602$445
Lennox International Inc. 900 -806 $440
     LII900-806$440
Rily Exploration Permian 13,200 -21,147 $436
     REPX13,200-21,147$436
FutureFuel Corp 53,800 +23,700 $433
     FF53,800+23,700$433
J.Jill Inc. 13,500 UNCH $432
     JILL13,500UNCH$432
Semler Scientific Inc 14,500 UNCH $424
     SMLR14,500UNCH$424
IDT Corporation Cl B 11,100 -3,900 $420
     IDT11,100-3,900$420
Richardson Electronics 45,300 UNCH $417
     RELL45,300UNCH$417
Armada Hoffler Properties Inc. 39,500 UNCH $411
     AHH39,500UNCH$411
DLH Holdings 30,800 UNCH $409
     DLHC30,800UNCH$409
Travelzoo 39,200 UNCH $399
     TZOO39,200UNCH$399
Business First Bancshares (BFST) 17,600 UNCH $392
     BFST17,600UNCH$392
Greene County Bancorp 13,600 UNCH $392
     GCBC13,600UNCH$392
Cencora Inc 1,600 +1,600 $389
     COR1,600+1,600$389
Archer Daniels Midland 6,100 +100 $383
     ADM6,100+100$383
Centrus Energy 9,214 -20,717 $383
     LEU9,214-20,717$383
Orion Engineered Carbons 16,300 +16,300 $383
     OEC16,300+16,300$383
Zynex Inc 30,300 -86 $375
     ZYXI30,300-86$375
P.A.M. Transportation 23,100 +5,400 $374
     PTSI23,100+5,400$374
G1 Therapeutics 86,100 -35,700 $372
     GTHX86,100-35,700$372
Twenty First Century Fox Inc. 11,866 -5,900 $371
     FOXA11,866-5,900$371
Hologic Inc. 4,700 -2,000 $366
     HOLX4,700-2,000$366
Ibex Ltd 23,600 UNCH $364
     IBEX23,600UNCH$364
Chesapeake Energy Corp 4,086 -1,702 $363
     CHK4,086-1,702$363
Piedmont Office Realty Trust 51,000 -25,500 $359
     PDM51,000-25,500$359
FS Bancorp Inc. 10,300 UNCH $358
     FSBW10,300UNCH$358
HF Sinclair Corp 5,869 -1,192 $354
     DINO5,869-1,192$354
Medallion Financial 44,700 +22,400 $354
     MFIN44,700+22,400$354
Liquidity Services Inc. 19,000 UNCH $353
     LQDT19,000UNCH$353
Edgewise Therapeutics 19,200 +19,200 $350
     EWTX19,200+19,200$350
Immersion 46,600 UNCH $349
     IMMR46,600UNCH$349
Skyworks Solutions Inc. 3,208 +1,208 $347
     SWKS3,208+1,208$347
Fonar Corporation 16,100 +2,700 $344
     FONR16,100+2,700$344
Synchrony Financial 7,862 +4,089 $339
     SYF7,862+4,089$339
Hudson Technologies 30,474 -4,600 $336
     HDSN30,474-4,600$336
HBT Financial Inc 17,500 UNCH $333
     HBT17,500UNCH$333
Vital Energy 6,300 -3,000 $331
     VTLE6,300-3,000$331
ACM Research Inc 11,300 +11,300 $329
     ACMR11,300+11,300$329
H&E Equipment Services 5,000 +5,000 $321
     HEES5,000+5,000$321
IES Holdings 2,600 UNCH $316
     IESC2,600UNCH$316
Bel Fuse cl B 5,200 +5,200 $314
     BELFB5,200+5,200$314
Cognizant Tech Solutions 4,211 +1,411 $309
     CTSH4,211+1,411$309
Regional Management Corp. 12,400 UNCH $300
     RM12,400UNCH$300
Hingham Institution for Saving 1,700 UNCH $297
     HIFS1,700UNCH$297
Replimune Group 36,300 +36,300 $297
     REPL36,300+36,300$297
Crossfirst Bancshares (CFB) 21,400 UNCH $296
     CFB21,400UNCH$296
Cabaletta Bio 17,300 UNCH $295
     CABA17,300UNCH$295
First Bank 21,300 +21,300 $293
     FRBA21,300+21,300$293
Rapt Therapeutics 32,600 +32,600 $293
     RAPT32,600+32,600$293
CPI Card Group Inc 16,300 +2,600 $291
     PMTS16,300+2,600$291
Nikarta 26,500 +26,500 $286
     NKTX26,500+26,500$286
Home Bancorp Inc. 7,300 UNCH $280
     HBCP7,300UNCH$280
Ramaco Resources Inc 16,600 -15,800 $280
     METC16,600-15,800$280
Consumer Portfolio Services 36,600 UNCH $277
     CPSS36,600UNCH$277
Inotiv Inc 25,300 +25,300 $277
     NOTV25,300+25,300$277
Southside Bancshares (SBSI) 9,100 +9,100 $266
     SBSI9,100+9,100$266
Radiant Logistics 48,800 UNCH $264
     RLGT48,800UNCH$264
Bank7 Corp 9,300 +3,500 $262
     BSVN9,300+3,500$262
Public Storage Inc. 900 -700 $261
     PSA900-700$261
Fulcrum Therapeutics 27,100 -30,700 $256
     FULC27,100-30,700$256
PulteGroup Inc. 2,109 +202 $254
     PHM2,109+202$254
Iradimed Corp. 5,700 -2,000 $251
     IRMD5,700-2,000$251
Lifeway Foods 14,300 UNCH $246
     LWAY14,300UNCH$246
Tileshop Holdings 34,200 +13,200 $240
     TTSH34,200+13,200$240
Insteel Industries Inc 6,200 UNCH $237
     IIIN6,200UNCH$237
Leidos Holdings Inc. 1,809 -500 $237
     LDOS1,809-500$237
Direct Digital Holdings 15,400 -8,700 $235
     DRCT15,400-8,700$235
Applied Therapeutics 33,600 +33,600 $228
     APLT33,600+33,600$228
Tenaya Therapeutics 43,300 UNCH $226
     TNYA43,300UNCH$226
Eastman Kodak 45,200 +12,900 $224
     KODK45,200+12,900$224
Independent Bank MI 8,700 +3,400 $221
     IBCP8,700+3,400$221
Malibu Boats Inc 5,100 +5,100 $221
     MBUU5,100+5,100$221
Legacy Housing Corporation 10,200 UNCH $220
     LEGH10,200UNCH$220
Wells Fargo & Company 3,800 -6,100 $220
     WFC3,800-6,100$220
The ONE Group Hospitality Inc 39,300 UNCH $219
     STKS39,300UNCH$219
Arch Capital Group Ltd. 2,315 +2,315 $214
     ACGL2,315+2,315$214
Target HospitalityCorp 19,400 +10,000 $211
     TH19,400+10,000$211
Arcturus Therapeutics Holdings 6,200 +6,200 $209
     ARCT6,200+6,200$209
Holley Inc 46,200 UNCH $206
     HLLY46,200UNCH$206
Peapack Gladstone Financial Corp 8,400 +8,400 $204
     PGC8,400+8,400$204
Longboard Pharmaceuticals 9,300 +9,300 $201
     LBPH9,300+9,300$201
Intest Corp 15,000 UNCH $199
     INTT15,000UNCH$199
Universal Health Realty Income Trust 5,400 +2,000 $198
     UHT5,400+2,000$198
Olympic Steel Inc. 2,800 -3,900 $198
     ZEUS2,800-3,900$198
Dow Chemical Company 3,400 UNCH $197
     DOW3,400UNCH$197
Corecard Corporation 17,447 UNCH $193
     CCRD17,447UNCH$193
Allient Inc 5,300 +5,300 $189
     ALNT5,300+5,300$189
Erasca Inc 91,200 UNCH $188
     ERAS91,200UNCH$188
Silvercrest Asset Mgmt Grp 11,800 UNCH $187
     SAMG11,800UNCH$187
Cirrus Logic Inc. 2,012 -602 $186
     CRUS2,012-602$186
Castle Biosciences 8,400 +8,400 $186
     CSTL8,400+8,400$186
Copart Inc. DE 3,200 +800 $185
     CPRT3,200+800$185
Distribution Solutions Group 5,200 UNCH $184
     DSGR5,200UNCH$184
BRT Apartments Corp 10,800 UNCH $181
     BRT10,800UNCH$181
Garmin Ltd 1,204 +1,204 $179
     GRMN1,204+1,204$179
Werewolf Therapeutics 26,600 +26,600 $172
     HOWL26,600+26,600$172
Inozyme Pharma 22,000 UNCH $169
     INZY22,000UNCH$169
Evi Industries 6,700 UNCH $167
     EVI6,700UNCH$167
Stonex Group 2,331 +2,297 $164
     SNEX2,331+2,297$164
Assertio Holdings 165,200 +122,500 $158
     ASRT165,200+122,500$158
Aldeyra Therapeutics 47,300 +47,300 $155
     ALDX47,300+47,300$155
Energy Services of America 18,700 +18,700 $154
     ESOA18,700+18,700$154
Destination XL Group 42,500 UNCH $153
     DXLG42,500UNCH$153
Weyco Group Inc. 4,700 +2,200 $150
     WEYS4,700+2,200$150
Ennis Inc 7,200 UNCH $148
     EBF7,200UNCH$148
Central Valley Community Bancorp 7,400 UNCH $147
     CVCY7,400UNCH$147
Teekay Corporation 20,100 +20,100 $146
     TK20,100+20,100$146
Waterstone Financial Inc MD 11,900 UNCH $145
     WSBF11,900UNCH$145
Acco Brands Corporation 25,700 UNCH $144
     ACCO25,700UNCH$144
JAKKS Pacific Inc. 5,700 UNCH $141
     JAKK5,700UNCH$141
Eagle Pharmaceuticals Inc 26,600 UNCH $139
     EGRX26,600UNCH$139
Genie Energy 9,100 -16,900 $137
     GNE9,100-16,900$137
NetApp Inc. 1,300 +1,300 $136
     NTAP1,300+1,300$136
Envela Corp 28,300 UNCH $131
     ELA28,300UNCH$131
Mastech Digital 14,400 UNCH $130
     MHH14,400UNCH$130
Organogenesis Holdings Inc 45,500 +45,500 $129
     ORGO45,500+45,500$129
Tourmaline Bio 5,600 +5,600 $128
     TRML5,600+5,600$128
Flexsteel Industries Inc. 3,400 +3,400 $127
     FLXS3,400+3,400$127
Nathan s Famous Inc 1,800 UNCH $127
     NATH1,800UNCH$127
Marinus Pharmaceuticals 13,600 UNCH $123
     MRNS13,600UNCH$123
LSI Industries 8,000 -7,800 $121
     LYTS8,000-7,800$121
Qualcomm Inc. 700 -500 $119
     QCOM700-500$119
Bridgewater Bancshares Inc (BWB) 10,000 UNCH $116
     BWB10,000UNCH$116
Midland States Bancorp Inc 4,600 UNCH $116
     MSBI4,600UNCH$116
Cross Country Healthcare Inc 5,500 +5,362 $103
     CCRN5,500+5,362$103
Biogen Inc. 400 +400 $86
     BIIB400+400$86
Tronox Holdings 4,900 UNCH $85
     TROX4,900UNCH$85
Avangrid Inc. 2,265 +10 $83
     AGR2,265+10$83
Steel Dynamics Inc. 513 +107 $76
     STLD513+107$76
Apartment Income REIT 2,295 +27 $75
     AIRC2,295+27$75
Tetra Tech Inc. 406 +200 $75
     TTEK406+200$75
Bank of New York Mellon Corp. 1,235 +3 $71
     BK1,235+3$71
Celanese Corporation 410 -100 $70
     CE410-100$70
CNA Financial Corp. 1,549 UNCH $70
     CNA1,549UNCH$70
Steris PLC 300 +300 $67
     STE300+300$67
Ally Financial Inc. 1,392 -310 $57
     ALLY1,392-310$57
Hartford Financial Services 508 +508 $52
     HIG508+508$52
Cincinnati Financial Corp 413 -102 $51
     CINF413-102$51
SS&C Technologies Hldgs Inc. 800 +800 $51
     SSNC800+800$51
Owens Corning Inc. 300 +300 $50
     OC300+300$50
Markel Corp 30 -1 $46
     MKL30-1$46
Franklin Resources Inc 1,549 +1,549 $44
     BEN1,549+1,549$44
Louisiana Pacific Corp 519 -25 $44
     LPX519-25$44
Affiliated Managers Group 254 +206 $43
     AMG254+206$43
Tyson Foods 721 UNCH $42
     TSN721UNCH$42
AutoNation Inc. 248 +110 $41
     AN248+110$41
Quest Diagnostics Inc. 300 -2,403 $40
     DGX300-2,403$40
State Street Corporation 510 UNCH $39
     STT510UNCH$39
Agco Corporation 310 +1 $38
     AGCO310+1$38
Sturm Ruger & Co. Inc. 800 UNCH $37
     RGR800UNCH$37
Universal Health Services 205 +205 $37
     UHS205+205$37
Timken Company 410 UNCH $36
     TKR410UNCH$36
Best Buy Inc. 410 +100 $34
     BBY410+100$34
DTE Energy Corp. 300 +300 $34
     DTE300+300$34
Reliance Inc. 102 UNCH $34
     RS102UNCH$34
Tapestry Inc 715 +3 $34
     TPR715+3$34
Vontier Corp 747 -229 $34
     VNT747-229$34
East West Bancorp Inc. 408 -92 $32
     EWBC408-92$32
Amerco 474 -16 $32
     UHAL474-16$32
Fifth Third Bancorp 831 -200 $31
     FITB831-200$31
Lithia Motors Inc. 104 +1 $31
     LAD104+1$31
Onemain Holdings Inc 592 -85 $30
     OMF592-85$30
MSC Industrial Direct Co. 300 UNCH $29
     MSM300UNCH$29
Rithm Capital Corp 2,558 UNCH $29
     RITM2,558UNCH$29
Avis Budget Group Inc. 231 +112 $28
     CAR231+112$28
DaVita HealthCare Partners Inc 205 UNCH $28
     DVA205UNCH$28
Urban One Inc 13,600 -12,000 $28
     UONEK13,600-12,000$28
Organon & Co 1,430 -5,817 $27
     OGN1,430-5,817$27
Schneider National Inc. 1,209 +24 $27
     SNDR1,209+24$27
American Electric Power 300 +300 $26
     AEP300+300$26
CDW Corporation 100 -100 $26
     CDW100-100$26
Dolby Laboratories Inc. 310 UNCH $26
     DLB310UNCH$26
Mosaic Co. The 800 -26 $26
     MOS800-26$26
Ovintiv Inc 510 +71 $26
     OVV510+71$26
Old Republic Int l Corp 781 +110 $24
     ORI781+110$24
Concentrix Corp. 349 +11 $23
     CNXC349+11$23
Hertz Global Holdings Inc. 2,881 +1,006 $23
     HTZ2,881+1,006$23
Invesco Limited 1,337 UNCH $22
     IVZ1,337UNCH$22
Bath & Body Works 413 -205 $21
     BBWI413-205$21
Builders FirstSource Inc 103 +103 $21
     BLDR103+103$21
Dropbox Inc 824 +824 $20
     DBX824+824$20
Jones Lang LaSalle Incorporated 104 UNCH $20
     JLL104UNCH$20
Landstar System Inc. 105 UNCH $20
     LSTR105UNCH$20
Incyte Corp 309 +309 $18
     INCY309+309$18
Nexstar Media Group Inc. Cl A 104 -102 $18
     NXST104-102$18
Playtika Holding Corp 2,506 UNCH $18
     PLTK2,506UNCH$18
WESCO International Inc. 104 UNCH $18
     WCC104UNCH$18
Carrier Global Corporation 300 UNCH $17
     CARR300UNCH$17
Genpact Limited 517 UNCH $17
     G517UNCH$17
LKQ Corporation 310 UNCH $17
     LKQ310UNCH$17
Robert Half Inc. 211 UNCH $17
     RHI211UNCH$17
UGI Corp 700 +700 $17
     UGI700+700$17
Thor Industries Inc. 105 +105 $12
     THO105+105$12
Entergy Corp 100 +100 $11
     ETR100+100$11
Avnet Inc. 160 +19 $8
     AVT160+19$8
BOK Financial Corp. 87 UNCH $8
     BOKF87UNCH$8
Popular Inc. 89 -11 $8
     BPOP89-11$8
Ryder System Inc. 64 +37 $8
     R64+37$8
Boise Cascade LLC 43 UNCH $7
     BCC43UNCH$7
Beacon Roofing Supply 70 +24 $7
     BECN70+24$7
MGIC Investment Corp. 311 UNCH $7
     MTG311UNCH$7
Reynolds Consumer Product 247 UNCH $7
     REYN247UNCH$7
Essent Group 95 -85,000 $6
     ESNT95-85,000$6
GMS Inc 57 +12 $6
     GMS57+12$6
Insight Enterprises Inc. 34 +9 $6
     NSIT34+9$6
Seaboard Corp 2 UNCH $6
     SEB2UNCH$6
TEGNA Inc. 413 +25 $6
     TGNA413+25$6
AMN Healthcare Services 74 +23 $5
     AMN74+23$5
API Group Corp 116 +9 $5
     APG116+9$5
Brookfield Business 207 UNCH $5
     BBUC207UNCH$5
Cleveland Cliffs Inc. 207 -41 $5
     CLF207-41$5
F&G Annuities and Life Inc 115 +86 $5
     FG115+86$5
Fluor Corporation 109 +15 $5
     FLR109+15$5
Group 1 Automotive Inc. 16 +6 $5
     GPI16+6$5
Option Care Health 140 +18 $5
     OPCH140+18$5
Patterson Companies Inc 178 +33 $5
     PDCO178+33$5
Plexus Corp. 51 +17 $5
     PLXS51+17$5
Sanmina Corporation 88 +12 $5
     SANM88+12$5
Super Miccro Computer 5 -16 $5
     SMCI5-16$5
APA Corp 121 -471 $4
     APA121-471$4
Belden Inc. 48 -7 $4
     BDC48-7$4
Commscope Holding 3,373 +3,373 $4
     COMM3,373+3,373$4
Ensign Group 35 UNCH $4
     ENSG35UNCH$4
First American Financial Corp 65 UNCH $4
     FAF65UNCH$4
Fabrinet 21 -4 $4
     FN21-4$4
Mueller Industries Inc. 76 +30 $4
     MLI76+30$4
Insperity 35 +12 $4
     NSP35+12$4
ePlus Inc. 50 +1 $4
     PLUS50+1$4
American Eagle Outfitters Inc 121 +22 $3
     AEO121+22$3
Assured Guaranty Ltd 34 +7 $3
     AGO34+7$3
AdaptHealth Corp 285 -37 $3
     AHCO285-37$3
Arko Corp 492 +210 $3
     ARKO492+210$3
Academy Sports and Outdoors 41 UNCH $3
     ASO41UNCH$3
Coca Cola Bottling Cl A 3 UNCH $3
     COKE3UNCH$3
Constellium 124 UNCH $3
     CSTM124UNCH$3
Carvana Co 37 -27 $3
     CVNA37-27$3
Camping World Holdings Inc. 100 UNCH $3
     CWH100UNCH$3
Evolent Health Inc 78 +78 $3
     EVH78+78$3
Itron Inc. 36 +11 $3
     ITRI36+11$3
MDU Resources Group 111 UNCH $3
     MDU111UNCH$3
Pilgrims Pride Corp 90 +31 $3
     PPC90+31$3
Primoris Services Corp. 73 +20 $3
     PRIM73+20$3
RadNet Inc 69 -5 $3
     RDNT69-5$3
Sprouts Farmers Market 50 UNCH $3
     SFM50UNCH$3
Surgery Partners 116 +47 $3
     SGRY116+47$3
SLM Corp 134 +36 $3
     SLM134+36$3
Terex Corp. 41 +41 $3
     TEX41+41$3
Trinet Group Inc 21 -2 $3
     TNET21-2$3
Tri Pointe Group 66 +66 $3
     TPH66+66$3
United States Steel Corp 84 -11 $3
     X84-11$3
Alignment Healthcare 303 +137 $2
     ALHC303+137$2
Allison Transmission Holdings 28 UNCH $2
     ALSN28UNCH$2
Arcbest Corp 16 -15 $2
     ARCB16-15$2
Aveanna Healthcare Holdings Inc 756 +298 $2
     AVAH756+298$2
Brookfield Renewable Corporation 81 UNCH $2
     BEPC81UNCH$2
Credit Acceptance Corp 4 +1 $2
     CACC4+1$2
Cal Maine Foods Inc. 26 UNCH $2
     CALM26UNCH$2
Columbia Sportswear Co. 28 UNCH $2
     COLM28UNCH$2
First Cash Fncl Svcs Inc. 16 UNCH $2
     FCFS16UNCH$2
Herbalife Ltd 201 +95 $2
     HLF201+95$2
Liberty Sirius XM 58 +30 $2
     LSXMK58+30$2
Macy s Inc. 87 UNCH $2
     M87UNCH$2
Modivcare 66 +16 $2
     MODV66+16$2
O I Glass 137 UNCH $2
     OI137UNCH$2
Oscar Health Inc 103 -137 $2
     OSCR103-137$2
Par Pacific Holding 59 UNCH $2
     PARR59UNCH$2
Pinnacle Financial Partners 18 UNCH $2
     PNFP18UNCH$2
Resideo Technologies Inc 81 UNCH $2
     REZI81UNCH$2
Ryman Hospitality Properties 13 UNCH $2
     RHP13UNCH$2
Siriuspoint 146 +43 $2
     SPNT146+43$2
UFP Industries 15 -36 $2
     UFPI15-36$2
Urban Outfitters Inc 56 +18 $2
     URBN56+18$2
Weatherford International Public Ltd 15 -5 $2
     WFRD15-5$2
Asbury Automotive Group 6 +6 $1
     ABG6+6$1
Andersons Inc. 20 UNCH $1
     ANDE20UNCH$1
Brookfield Infrastructure Corporation 21 UNCH $1
     BIPC21UNCH$1
Bloomin Brands Inc 49 UNCH $1
     BLMN49UNCH$1
Cathay General Bancorp 24 UNCH $1
     CATY24UNCH$1
Cabot Corporation 13 UNCH $1
     CBT13UNCH$1
The Carlyle Group Inc 13 -914 $1
     CG13-914$1
Championx Corp 27 UNCH $1
     CHX27UNCH$1
CNH Industrial N.V. 57 +57 $1
     CNHI57+57$1
Cinemark Holdings Inc 29 UNCH $1
     CNK29UNCH$1
Crane Company 6 -1 $1
     CR6-1$1
Essential Properties Realty Trust 38 UNCH $1
     EPRT38UNCH$1
Gates Industrial Corp 65 -190 $1
     GTES65-190$1
Highwoods Properties 37 -824 $1
     HIW37-824$1
Janus Henderson Group Plc 29 UNCH $1
     JHG29UNCH$1
Liberty Broadband 9 -200 $1
     LBRDK9-200$1
Liberty Oilfield Services 67 UNCH $1
     LBRT67UNCH$1
Lions Gate Entertainment Corp      $1
     LGF.A104UNCH$1
NewMarket Corporation 1 -12 $1
     NEU1-12$1
National Health Investors 9 +9 $1
     NHI9+9$1
New Jersey Resources 24 UNCH $1
     NJR24UNCH$1
Olin Corporation 19 UNCH $1
     OLN19UNCH$1
Olaplex Holdings 707 UNCH $1
     OLPX707UNCH$1
Otter Tail Corp 6 UNCH $1
     OTTR6UNCH$1
Prog Holdings 42 UNCH $1
     PRG42UNCH$1
Privia Health Group Inc 71 +71 $1
     PRVA71+71$1
Radian Group Inc. 35 -55 $1
     RDN35-55$1
EchoStar Corp. 59 -85,956 $1
     SATS59-85,956$1
Sinclair Inc 50 -32 $1
     SBGI50-32$1
SSR Mining Inc 144 +144 $1
     SSRM144+144$1
StoneCo Ltd 69 +69 $1
     STNE69+69$1
Southwestern Energy Co. 148 -159 $1
     SWN148-159$1
Vista Outdoor 29 -57,871 $1
     VSTO29-57,871$1
Cencora Inc $0 (exited)
     ABC0-2,400$0
Ameris Bancorp $0 (exited)
     ABCB0-4,000$0
Advanced Energy Industries $0 (exited)
     AEIS0-28$0
American Equity Investment $0 (exited)
     AEL0-59$0
Banner Corp. $0 (exited)
     BANR0-12,600$0
Brown Forman cl B $0 (exited)
     BF.B0-300$0
Byline Bancorp Inc. $0 (exited)
     BY0-18,000$0
Beazer Homes USA $0 (exited)
     BZH0-80,600$0
Clearfield Inc. $0 (exited)
     CLFD0-5,700$0
Claros Mortgage Trust $0 (exited)
     CMTG0-29,300$0
Mr Cooper Group $0 (exited)
     COOP0-13,200$0
Crescent Energy $0 (exited)
     CRGY0-23,500$0
Coterra Energy Inc $0 (exited)
     CTRA0-5,900$0
Diodes Inc. $0 (exited)
     DIOD0-34$0
Dicks Sporting Goods Inc $0 (exited)
     DKS0-4$0
Daseke $0 (exited)
     DSKE0-52,300$0
Enova International Inc. $0 (exited)
     ENVA0-87,500$0
FB Financial Corp. $0 (exited)
     FBK0-22,100$0
FTI Consulting Inc. $0 (exited)
     FCN0-102$0
Four Corners PPTY Trust $0 (exited)
     FCPT0-19$0
First Mid Illinois Bancshares $0 (exited)
     FMBH0-3,800$0
Hackett Group Inc $0 (exited)
     HCKT0-9,200$0
International Paper Co. $0 (exited)
     IP0-400$0
Jefferies Financial Group Inc. $0 (exited)
     JEF0-613$0
Kelly Services cl A $0 (exited)
     KELYA0-5,800$0
Kroger Company $0 (exited)
     KR0-6,717$0
LCI Industries $0 (exited)
     LCII0-15$0
Lovesac Company $0 (exited)
     LOVE0-8,300$0
Metropolitan Bank Holding Corp $0 (exited)
     MCB0-4,500$0
MDC Holdings Inc $0 (exited)
     MDC0-103$0
AG Mortgage Investment Tr $0 (exited)
     MITT0-14,800$0
Morgan Stanley $0 (exited)
     MS0-5,500$0
Match Group Inc. $0 (exited)
     MTCH0-414$0
National HealthCare Corp $0 (exited)
     NHC0-18,400$0
Annaly Capital Mgmt. $0 (exited)
     NLY0-21$0
Nurix Therapeutics $0 (exited)
     NRIX0-57,500$0
Novavax Inc $0 (exited)
     NVAX0-173$0
Northwest Bancshares Inc. $0 (exited)
     NWBI0-20,300$0
Origin Bancorp $0 (exited)
     OBK0-7,000$0
OFG Bancorp $0 (exited)
     OFG0-11,300$0
ONEOK Inc. $0 (exited)
     OKE0-3,914$0
Patrick Industries Inc. $0 (exited)
     PATK0-1,900$0
Protalix Biotherapeutics $0 (exited)
     PLX0-94,700$0
PMV Pharmaceuticals $0 (exited)
     PMVP0-33,900$0
Pacific Premier Bancorp Inc $0 (exited)
     PPBI0-76$0
Quidelortho Corp $0 (exited)
     QDEL0-2,312$0
Ready Capital $0 (exited)
     RC0-10,000$0
Resources Connection $0 (exited)
     RGP0-7,400$0
Selective Insurance Group $0 (exited)
     SIGI0-19$0
Southern MO Bancorp $0 (exited)
     SMBC0-2,600$0
Synovus Financial Corp $0 (exited)
     SNV0-12$0
ARS Pharmaceutical $0 (exited)
     SPRY0-87,500$0
Scholar Rock Holdings $0 (exited)
     SRRK0-28,200$0
Stewart Information Services $0 (exited)
     STC0-52,400$0
Textainer Group Hldgs Ltd. $0 (exited)
     TGH0-33,900$0
Theseus Pharmaceuticals $0 (exited)
     THRX0-103,800$0
Taylor Morrison Home Corporation $0 (exited)
     TMHC0-57$0
Texas Pacific Land Trust $0 (exited)
     TPL0-110$0
Townsquare Media Inc. $0 (exited)
     TSQ0-14,400$0
Ubiquiti Inc. $0 (exited)
     UI0-411$0
United States Lime & Minerals $0 (exited)
     USLM0-2,000$0
Valero Energy Corporation $0 (exited)
     VLO0-3,400$0
Encore Wire Corporation $0 (exited)
     WIRE0-34$0
Worthing Steel Inc. $0 (exited)
     WS0-59,857$0
Y Mabs Therapeutics 0 -16,400 $0 (exited)
     YMAB0-16,400$0

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