BCCM

Blue Clay Capital Management Portfolio holdings

AUM $68.8M
This Quarter Return
+6.83%
1 Year Return
+5.44%
3 Year Return
5 Year Return
10 Year Return
AUM
$68.8M
AUM Growth
+$68.8M
Cap. Flow
-$4.25M
Cap. Flow %
-6.19%
Top 10 Hldgs %
54.44%
Holding
111
New
17
Increased
14
Reduced
27
Closed
16

Sector Composition

1 Consumer Discretionary 47.5%
2 Financials 11.57%
3 Healthcare 7.78%
4 Industrials 6.76%
5 Technology 6.39%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CMG icon
51
Chipotle Mexican Grill
CMG
$56.5B
$313K 0.35%
+738
New +$313K
DMRC icon
52
Digimarc
DMRC
$188M
$308K 0.35%
8,024
-4,200
-34% -$161K
LC icon
53
LendingClub
LC
$1.97B
$302K 0.34%
48,900
-17,500
-26% -$108K
CSWC icon
54
Capital Southwest
CSWC
$1.28B
$289K 0.33%
+19,684
New +$289K
TRIB
55
Trinity Biotech
TRIB
$5.44M
$271K 0.31%
20,475
RMTI icon
56
Rockwell Medical
RMTI
$58.9M
$253K 0.29%
+37,835
New +$253K
CPHC icon
57
Canterbury Park Holding Corp
CPHC
$83.9M
$252K 0.28%
24,504
PSIX
58
Power Solutions International, Inc. Common Stock
PSIX
$1.91B
$252K 0.28%
24,570
-19,040
-44% -$195K
IMH
59
DELISTED
Impac Mortgage Holdings Inc.
IMH
$251K 0.28%
+19,000
New +$251K
KBH icon
60
KB Home
KBH
$4.32B
$221K 0.25%
13,700
FIT
61
DELISTED
Fitbit, Inc. Class A common stock
FIT
$220K 0.25%
+14,800
New +$220K
MGNI icon
62
Magnite
MGNI
$3.7B
$218K 0.25%
26,366
-26,366
-50% -$218K
AGFS
63
DELISTED
AgroFresh Solutions, Inc. Common Stock
AGFS
$217K 0.24%
41,106
PLPM
64
DELISTED
Planet Payment, Inc
PLPM
$198K 0.22%
+53,333
New +$198K
HYGS
65
DELISTED
Hydrogenics Corp
HYGS
$194K 0.22%
29,500
MOCO
66
DELISTED
Mocon Inc
MOCO
$181K 0.2%
+11,505
New +$181K
QMCO icon
67
Quantum Corp
QMCO
$99M
$176K 0.2%
+238,500
New +$176K
INVT
68
DELISTED
Inventergy Global, Inc.
INVT
$171K 0.19%
114,805
+5,005
+5% +$7.46K
SIRE
69
DELISTED
Sisecam Resources LP
SIRE
$169K 0.19%
5,440
-12,960
-70% -$403K
SRGA
70
DELISTED
Surgalign Holdings, Inc. Common Stock
SRGA
$168K 0.19%
53,600
-31,000
-37% -$97.2K
CONN
71
DELISTED
Conn's Inc.
CONN
$150K 0.17%
14,500
ASNA
72
DELISTED
Ascena Retail Group, Inc.
ASNA
$147K 0.17%
+26,255
New +$147K
MTVA
73
MetaVia Inc. Common Stock
MTVA
$15.3M
$131K 0.15%
+12,004
New +$131K
NEON icon
74
Neonode
NEON
$402M
$114K 0.13%
+100,000
New +$114K
MATR
75
DELISTED
Mattersight Corp.
MATR
$107K 0.12%
25,450