GMCM

Gruber & McBaine Capital Management Portfolio holdings

AUM $369M
This Quarter Return
+0.47%
1 Year Return
+12.33%
3 Year Return
5 Year Return
10 Year Return
AUM
$369M
AUM Growth
+$369M
Cap. Flow
+$7.42M
Cap. Flow %
2.01%
Top 10 Hldgs %
25.9%
Holding
217
New
25
Increased
52
Reduced
39
Closed
29

Sector Composition

1 Technology 37.02%
2 Industrials 12.84%
3 Communication Services 9.96%
4 Consumer Discretionary 7.47%
5 Consumer Staples 6.28%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
VIAV icon
101
Viavi Solutions
VIAV
$2.57B
$1.04M 0.28%
90,000
SYNA icon
102
Synaptics
SYNA
$2.62B
$1.04M 0.28%
12,000
-19,800
-62% -$1.72M
ALT icon
103
Altimmune
ALT
$325M
$1.03M 0.28%
572,950
SPCB icon
104
SuperCom
SPCB
$41.1M
$1.01M 0.27%
+80,000
New +$1.01M
ORN icon
105
Orion Group Holdings
ORN
$286M
$980K 0.27%
135,700
+10,700
+9% +$77.3K
ARCB icon
106
ArcBest
ARCB
$1.65B
$954K 0.26%
30,000
STLD icon
107
Steel Dynamics
STLD
$19.1B
$932K 0.25%
45,000
-5,000
-10% -$104K
DFRG
108
DELISTED
Del Frisco's Restaurant Group, Inc. Common Stock
DFRG
$928K 0.25%
49,800
PPC icon
109
Pilgrim's Pride
PPC
$10.3B
$919K 0.25%
40,000
SWN
110
DELISTED
Southwestern Energy Company
SWN
$909K 0.25%
40,000
MXL icon
111
MaxLinear
MXL
$1.33B
$908K 0.25%
75,000
WEN
112
DELISTED
WENDYS INTERNATIONAL
WEN
$902K 0.24%
80,000
-20,000
-20% -$226K
EZCH
113
DELISTED
EZCHIP SEMICONDUCTOR LIMITED ORD SHS (IL)
EZCH
$878K 0.24%
55,000
RGR icon
114
Sturm, Ruger & Co
RGR
$554M
$862K 0.23%
+15,000
New +$862K
JASO
115
DELISTED
JA Solar Holdings, Co., Ltd
JASO
$855K 0.23%
100,000
WAVX
116
DELISTED
WAVE SYS CORP CL A NEW COM STK (DE)
WAVX
$850K 0.23%
1,465,000
+365,000
+33% +$212K
FNGN
117
DELISTED
Financial Engines, Inc.
FNGN
$850K 0.23%
20,000
UTEK
118
DELISTED
Ultratech Inc.
UTEK
$835K 0.23%
+45,000
New +$835K
HUBG icon
119
HUB Group
HUBG
$2.27B
$807K 0.22%
20,000
-3,100
-13% -$125K
AVID
120
DELISTED
Avid Technology Inc
AVID
$800K 0.22%
60,000
+20,000
+50% +$267K
AVAV icon
121
AeroVironment
AVAV
$11.9B
$782K 0.21%
30,000
OCLR
122
DELISTED
Oclaro Inc.
OCLR
$780K 0.21%
345,200
+200
+0.1% +$452
UI icon
123
Ubiquiti
UI
$33B
$718K 0.19%
22,500
-2,500
-10% -$79.8K
RNF
124
DELISTED
RENTECH NITROGEN PARTNERS, L.P. INT
RNF
$715K 0.19%
50,000
+20,000
+67% +$286K
CSIQ icon
125
Canadian Solar
CSIQ
$663M
$715K 0.19%
25,000
+11,000
+79% +$315K