Adirondack Research & Management

Adirondack Research & Management as of Dec. 31, 2020

Portfolio Holdings for Adirondack Research & Management

Adirondack Research & Management holds 81 positions in its portfolio as reported in the December 2020 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Unisys Corp Com New (UIS) 4.6 $3.4M 171k 19.68
Conduent Incorporate (CNDT) 3.5 $2.5M 528k 4.80
Allscripts Healthcare Solutions (MDRX) 3.1 $2.2M 155k 14.44
ODP Corp. (ODP) 3.0 $2.2M 75k 29.29
Adtran 2.8 $2.1M 139k 14.77
Infinera (INFN) 2.7 $2.0M 189k 10.48
LSI Industries (LYTS) 2.7 $1.9M 227k 8.56
CNO Financial (CNO) 2.5 $1.8M 82k 22.23
Covanta Holding Corporation 2.4 $1.8M 135k 13.13
Third Point Reinsurance 2.3 $1.7M 180k 9.52
Under Armour Cl A (UAA) 2.3 $1.7M 99k 17.17
National Westn Life Group In Cl A (NWLI) 2.3 $1.7M 8.2k 206.45
Lazard Shs A 2.2 $1.6M 39k 42.29
Vonage Holdings 2.2 $1.6M 123k 12.88
Celestica Sub Vtg Shs (CLS) 2.1 $1.6M 192k 8.07
Seacor Holdings 1.9 $1.4M 34k 41.46
Genworth Finl Com Cl A (GNW) 1.9 $1.4M 367k 3.78
Stewart Information Services Corporation (STC) 1.8 $1.3M 27k 48.37
Graftech International (EAF) 1.8 $1.3M 122k 10.66
Allete Com New (ALE) 1.8 $1.3M 21k 61.93
Sanmina (SANM) 1.8 $1.3M 40k 31.89
Vistaoutdoor (VSTO) 1.7 $1.3M 53k 23.77
MGIC Investment (MTG) 1.7 $1.3M 100k 12.55
Brixmor Prty (BRX) 1.7 $1.3M 76k 16.54
ardmore Shipping (ASC) 1.7 $1.2M 380k 3.27
Cabot Oil & Gas Corporation (CTRA) 1.6 $1.2M 73k 16.29
Photronics (PLAB) 1.4 $1.0M 93k 11.16
Matrix Service Company (MTRX) 1.3 $944k 86k 11.02
Ingles Mkts Cl A (IMKTA) 1.3 $939k 22k 42.68
Dominion Resources (D) 1.3 $933k 12k 75.19
Accuray Incorporated (ARAY) 1.3 $918k 220k 4.17
CNB Financial Corporation (CCNE) 1.2 $886k 42k 21.30
Knowles (KN) 1.2 $879k 48k 18.42
Change Healthcare 1.2 $878k 47k 18.66
Denny's Corporation (DENN) 1.2 $853k 58k 14.68
Archer Daniels Midland Company (ADM) 1.2 $842k 17k 50.43
Seaboard Corporation (SEB) 1.1 $834k 275.00 3032.73
Amer Software Cl A (AMSWA) 1.1 $827k 48k 17.17
Molson Coors Beverage CL B (TAP) 1.1 $820k 18k 45.19
Compass Diversified Sh Ben Int (CODI) 1.1 $810k 42k 19.46
A10 Networks (ATEN) 1.1 $804k 82k 9.86
Barnes (B) 1.1 $769k 15k 50.71
Cdk Global 1.0 $748k 14k 51.80
Pq Group Hldgs 1.0 $743k 52k 14.27
Ralph Lauren Corp Cl A (RL) 1.0 $728k 7.0k 103.78
Hill International 1.0 $710k 370k 1.92
Westlake Chem Partners Com Unit Rp Lp (WLKP) 1.0 $695k 29k 23.84
Old Republic International Corporation (ORI) 0.9 $670k 34k 19.71
Limelight Networks 0.8 $589k 148k 3.99
Quantum Corp Com New (QMCO) 0.8 $554k 91k 6.12
Harvard Bioscience (HBIO) 0.7 $544k 127k 4.29
Corning Incorporated (GLW) 0.7 $487k 14k 36.01
Mr Cooper Group (COOP) 0.6 $458k 15k 31.00
Vishay Intertechnology (VSH) 0.6 $433k 21k 20.72
Microsoft Corporation (MSFT) 0.6 $427k 1.9k 222.51
Emcore Corp Com New (EMKR) 0.6 $416k 76k 5.45
MetLife (MET) 0.6 $415k 8.8k 46.96
Hartford Financial Services (HIG) 0.6 $402k 8.2k 49.02
O-i Glass (OI) 0.5 $397k 33k 11.90
Manitex International (MNTX) 0.5 $381k 74k 5.15
Exelon Corporation (EXC) 0.5 $377k 8.9k 42.26
Trinity Industries (TRN) 0.5 $354k 13k 26.39
Abbott Laboratories (ABT) 0.5 $342k 3.1k 109.44
At&t (T) 0.5 $340k 12k 28.74
Boston Scientific Corporation (BSX) 0.5 $331k 9.2k 35.96
Pfizer (PFE) 0.5 $330k 9.0k 36.77
Coca Cola European Partners SHS (CCEP) 0.4 $320k 6.4k 49.81
Consolidated Edison (ED) 0.4 $300k 4.1k 72.38
Tiptree Finl Inc cl a (TIPT) 0.4 $299k 60k 5.02
Myers Industries (MYE) 0.4 $279k 14k 20.74
Teck Resources CL B (TECK) 0.4 $276k 15k 18.13
TrustCo Bank Corp NY 0.3 $240k 36k 6.67
Pbf Logistics Unit Ltd Ptnr 0.3 $214k 23k 9.16
General Electric Company 0.3 $213k 20k 10.80
Apple (AAPL) 0.3 $208k 1.6k 132.48
Abbvie (ABBV) 0.3 $203k 1.9k 107.41
Nokia Corp Sponsored Adr (NOK) 0.3 $203k 52k 3.91
Sp Plus (SP) 0.3 $200k 6.9k 28.81
Gray Television (GTN) 0.2 $137k 7.6k 17.94
Concrete Pumping Hldgs (BBCP) 0.2 $132k 35k 3.83
Pure Cycle Corp Com New (PCYO) 0.1 $58k 5.2k 11.15