TA

Teton Advisors Portfolio holdings

AUM $164M
This Quarter Return
+6.71%
1 Year Return
+20.36%
3 Year Return
+69.41%
5 Year Return
+173.48%
10 Year Return
+430.49%
AUM
$1.14B
AUM Growth
Cap. Flow
+$1.14B
Cap. Flow %
100%
Top 10 Hldgs %
10.12%
Holding
498
New
498
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Industrials 20.15%
2 Consumer Discretionary 15.51%
3 Financials 9.23%
4 Healthcare 9.04%
5 Communication Services 7.79%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TYL icon
426
Tyler Technologies
TYL
$24.4B
$260K 0.02%
+3,800
New +$260K
SRGA
427
DELISTED
Surgalign Holdings, Inc. Common Stock
SRGA
$259K 0.02%
+69,000
New +$259K
GST
428
DELISTED
Gastar Exploration Inc.
GST
$256K 0.02%
+95,800
New +$256K
WIBC
429
DELISTED
WILSHIRE BANCORP INC
WIBC
$252K 0.02%
+38,100
New +$252K
BWEN icon
430
Broadwind
BWEN
$48.4M
$249K 0.02%
+52,018
New +$249K
MTSC
431
DELISTED
MTS Systems Corp
MTSC
$249K 0.02%
+4,400
New +$249K
WFC icon
432
Wells Fargo
WFC
$263B
$248K 0.02%
+6,000
New +$248K
INFA
433
DELISTED
INFORMATICA CORP
INFA
$248K 0.02%
+7,100
New +$248K
B
434
DELISTED
Barnes Group Inc.
B
$247K 0.02%
+8,250
New +$247K
SKH
435
DELISTED
SKILLED HEALTHCARE GROUP, INC. CLASS A COM STK
SKH
$247K 0.02%
+37,000
New +$247K
CAG icon
436
Conagra Brands
CAG
$9.16B
$245K 0.02%
+7,000
New +$245K
HDSN icon
437
Hudson Technologies
HDSN
$444M
$243K 0.02%
+76,100
New +$243K
MSEX icon
438
Middlesex Water
MSEX
$965M
$243K 0.02%
+12,200
New +$243K
STE icon
439
Steris
STE
$24.1B
$240K 0.02%
+5,600
New +$240K
MOG.A icon
440
Moog
MOG.A
$6.2B
$237K 0.02%
+4,600
New +$237K
BHLB icon
441
Berkshire Hills Bancorp
BHLB
$1.21B
$236K 0.02%
+8,500
New +$236K
XBKS
442
DELISTED
XENITH BANKSHARES INC , COMMON STOCK
XBKS
$234K 0.02%
+44,000
New +$234K
SMIT
443
DELISTED
Schmitt Industries Inc
SMIT
$233K 0.02%
+79,000
New +$233K
CWTR
444
DELISTED
COLDWATER CREEK INC COM STK NEW (DE)
CWTR
$231K 0.02%
+92,500
New +$231K
IP icon
445
International Paper
IP
$26.2B
$230K 0.02%
+5,200
New +$230K
GTN.A icon
446
Gray Media, Inc. Class A
GTN.A
$223K 0.02%
+32,032
New +$223K
MGAM
447
DELISTED
MULTIMEDIA GAMES HOLDING COMPANY INC COM STK (TX)
MGAM
$222K 0.02%
+8,500
New +$222K
PRSO icon
448
Peraso
PRSO
$5.42M
$214K 0.02%
+53,256
New +$214K
PKT
449
DELISTED
PROCERA NETWORKS INC NEW COM STK (DE)
PKT
$214K 0.02%
+15,600
New +$214K
CME icon
450
CME Group
CME
$96B
$213K 0.02%
+2,800
New +$213K