Adirondack Research & Management

Adirondack Research & Management as of Sept. 30, 2020

Portfolio Holdings for Adirondack Research & Management

Adirondack Research & Management holds 75 positions in its portfolio as reported in the September 2020 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Unisys Corp Com New (UIS) 3.9 $2.8M 263k 10.67
CNO Financial (CNO) 3.5 $2.5M 159k 16.04
LSI Industries (LYTS) 3.3 $2.4M 352k 6.75
Celestica Sub Vtg Shs (CLS) 3.2 $2.3M 330k 6.90
Stewart Information Services Corporation (STC) 3.1 $2.3M 52k 43.74
Conduent Incorporate (CNDT) 3.1 $2.2M 692k 3.18
Seaboard Corporation (SEB) 3.0 $2.1M 748.00 2836.90
Adtran 2.9 $2.1M 200k 10.26
Infinera (INFN) 2.6 $1.9M 306k 6.16
Office Depot 2.5 $1.8M 93k 19.45
National Westn Life Group In Cl A (NWLI) 2.4 $1.8M 9.6k 182.78
Allscripts Healthcare Solutions (MDRX) 2.4 $1.7M 213k 8.14
Vistaoutdoor (VSTO) 2.4 $1.7M 85k 20.18
Covanta Holding Corporation 2.4 $1.7M 221k 7.75
Allete Com New (ALE) 2.4 $1.7M 33k 51.75
Under Armour Cl A (UAA) 2.3 $1.7M 150k 11.23
Vonage Holdings 2.3 $1.7M 162k 10.23
Sanmina (SANM) 2.2 $1.6M 58k 27.05
Lazard Shs A 2.1 $1.5M 47k 33.05
Third Point Reinsurance 2.1 $1.5M 220k 6.95
ardmore Shipping (ASC) 2.0 $1.5M 413k 3.56
Seacor Holdings 2.0 $1.4M 49k 29.08
Genworth Finl Com Cl A (GNW) 1.8 $1.3M 395k 3.35
Brixmor Prty (BRX) 1.7 $1.2M 103k 11.69
MGIC Investment (MTG) 1.7 $1.2M 135k 8.86
Photronics (PLAB) 1.6 $1.2M 118k 9.96
Mr Cooper Group (COOP) 1.5 $1.1M 48k 22.31
Ingles Mkts Cl A (IMKTA) 1.4 $1.0M 27k 38.04
Graftech International (EAF) 1.4 $1.0M 151k 6.84
Knowles (KN) 1.4 $1.0M 69k 14.90
Matrix Service Company (MTRX) 1.4 $989k 119k 8.35
A10 Networks (ATEN) 1.3 $927k 146k 6.37
Limelight Networks 1.2 $850k 148k 5.76
Compass Diversified Sh Ben Int (CODI) 1.1 $793k 42k 19.06
Archer Daniels Midland Company (ADM) 1.1 $776k 17k 46.48
Accuray Incorporated (ARAY) 1.0 $746k 311k 2.40
Hill International 1.0 $706k 535k 1.32
Cabot Oil & Gas Corporation (CTRA) 1.0 $700k 40k 17.35
Change Healthcare 1.0 $683k 47k 14.51
American Software Cl A (AMSWA) 0.9 $675k 48k 14.04
Microsoft Corporation (MSFT) 0.9 $668k 3.2k 210.39
Gray Television (GTN) 0.9 $640k 46k 13.78
CNB Financial Corporation (CCNE) 0.9 $619k 42k 14.88
Old Republic International Corporation (ORI) 0.9 $619k 42k 14.74
Harvard Bioscience (HBIO) 0.8 $573k 191k 3.01
Westlake Chem Partners Com Unit Rp Lp (WLKP) 0.8 $550k 29k 18.74
Hexcel Corporation (HXL) 0.8 $547k 16k 33.56
Colony Cr Real Estate Com Cl A 0.7 $510k 104k 4.91
Manitex International (MNTX) 0.7 $471k 113k 4.17
Myers Industries (MYE) 0.6 $443k 34k 13.24
Corning Incorporated (GLW) 0.6 $438k 14k 32.39
Quantum Corp Com New (QMCO) 0.6 $428k 93k 4.61
O-i Glass (OI) 0.6 $425k 40k 10.58
Emcore Corp Com New (EMKR) 0.6 $424k 131k 3.25
Boston Scientific Corporation (BSX) 0.5 $352k 9.2k 38.24
Clarus Corp (CLAR) 0.5 $352k 25k 14.10
Abbott Laboratories (ABT) 0.5 $340k 3.1k 108.80
At&t (T) 0.5 $333k 12k 28.51
Pfizer (PFE) 0.5 $329k 9.0k 36.66
MetLife (MET) 0.5 $329k 8.8k 37.23
Exelon Corporation (EXC) 0.5 $326k 9.1k 35.75
Vishay Intertechnology (VSH) 0.5 $325k 21k 15.55
Consolidated Edison (ED) 0.4 $322k 4.1k 77.68
Hartford Financial Services (HIG) 0.4 $302k 8.2k 36.83
Dominion Resources (D) 0.4 $301k 3.8k 78.96
Progress Software Corporation (PRGS) 0.4 $277k 7.6k 36.64
Pbf Logistics Unit Ltd Ptnr 0.4 $271k 33k 8.14
Trinity Industries (TRN) 0.4 $260k 13k 19.53
Coca Cola European Partners SHS (CCEP) 0.3 $249k 6.4k 38.75
Tiptree Finl Inc cl a (TIPT) 0.3 $227k 46k 4.94
Teck Resources CL B (TECK) 0.3 $220k 16k 13.91
Nokia Corp Sponsored Adr (NOK) 0.3 $202k 52k 3.90
TrustCo Bank Corp NY 0.3 $188k 36k 5.23
Concrete Pumping Hldgs (BBCP) 0.2 $123k 35k 3.57
General Electric Company 0.2 $123k 20k 6.23