PCM

Penn Capital Management Portfolio holdings

AUM $1.16B
This Quarter Return
+7.82%
1 Year Return
+29.45%
3 Year Return
+104.76%
5 Year Return
+257.08%
10 Year Return
+482.03%
AUM
$2.44B
AUM Growth
Cap. Flow
+$2.35B
Cap. Flow %
96.34%
Top 10 Hldgs %
13.19%
Holding
318
New
291
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 13.2%
2 Industrials 12.85%
3 Financials 11.11%
4 Consumer Discretionary 7.66%
5 Communication Services 7.52%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CNTY icon
251
Century Casinos
CNTY
$80.8M
$1.21M 0.05%
+348,404
New +$1.21M
THR icon
252
Thermon Group Holdings
THR
$842M
$1.13M 0.05%
+55,456
New +$1.13M
SN
253
DELISTED
Sanchez Energy Corporation
SN
$1.1M 0.05%
+48,048
New +$1.1M
NRF
254
DELISTED
NorthStar Realty Finance Corp.
NRF
$1.06M 0.04%
+59,455
New +$1.06M
BODY
255
DELISTED
BODY CENTRAL CORP COM STK
BODY
$1.06M 0.04%
+79,633
New +$1.06M
PRO icon
256
PROS Holdings
PRO
$734M
$1.03M 0.04%
+34,469
New +$1.03M
SHFL
257
DELISTED
SHFL ENTMT INC
SHFL
$1.03M 0.04%
+58,046
New +$1.03M
AXL icon
258
American Axle
AXL
$707M
$1.02M 0.04%
+54,871
New +$1.02M
GBX icon
259
The Greenbrier Companies
GBX
$1.42B
$1.02M 0.04%
+41,930
New +$1.02M
OIG
260
DELISTED
Orbital Infrastructure Group, Inc. Common Stock
OIG
$1.02M 0.04%
+4,589
New +$1.02M
BEBE
261
DELISTED
Bebe Stores Inc
BEBE
$1M 0.04%
+17,866
New +$1M
KSU
262
DELISTED
Kansas City Southern
KSU
$991K 0.04%
+9,354
New +$991K
EVTC icon
263
Evertec
EVTC
$2.2B
$990K 0.04%
+45,072
New +$990K
KEG
264
DELISTED
KEY ENERGY SERVICES INC
KEG
$949K 0.04%
+159,526
New +$949K
RRGB icon
265
Red Robin
RRGB
$113M
$933K 0.04%
+16,910
New +$933K
YELL
266
DELISTED
Yellow Corporation Common Stock
YELL
$924K 0.04%
+32,135
New +$924K
CHRD icon
267
Chord Energy
CHRD
$6.39B
$920K 0.04%
+23,675
New +$920K
TA
268
DELISTED
TravelCenters of America LLC
TA
$884K 0.04%
+16,166
New +$884K
BAS
269
DELISTED
Basis Energy Services, Inc.
BAS
$884K 0.04%
+128
New +$884K
PRXL
270
DELISTED
Parexel International Corp
PRXL
$853K 0.04%
+18,575
New +$853K
SRCI
271
DELISTED
SRC Energy Inc
SRCI
$782K 0.03%
+106,766
New +$782K
LORL
272
DELISTED
Loral Space and Communications, Inc.
LORL
$776K 0.03%
+12,930
New +$776K
OXM icon
273
Oxford Industries
OXM
$630M
$768K 0.03%
+12,315
New +$768K
MTN icon
274
Vail Resorts
MTN
$5.91B
$755K 0.03%
+12,275
New +$755K
APP
275
DELISTED
AMERICAN APPAREL INC COM
APP
$723K 0.03%
+376,517
New +$723K