Engine Capital Management

Engine Capital Management as of March 31, 2019

Portfolio Holdings for Engine Capital Management

Engine Capital Management holds 49 positions in its portfolio as reported in the March 2019 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
AECOM Technology Corporation (ACM) 11.8 $18M 606k 29.67
Everi Hldgs (EVRI) 11.1 $17M 1.6M 10.52
Hill International 10.6 $16M 5.6M 2.92
Nexstar Broadcasting (NXST) 6.7 $10M 95k 108.37
MGM Resorts International. (MGM) 5.1 $7.8M 305k 25.66
Recro Pharma (SCTL) 4.1 $6.2M 1.1M 5.86
PFSweb 4.0 $6.1M 1.2M 5.21
Fiat Chrysler Auto 3.7 $5.7M 381k 14.85
Altaba 3.5 $5.3M 72k 74.13
Dycom Industries (DY) 3.0 $4.6M 100k 45.94
KBR (KBR) 3.0 $4.5M 236k 19.09
Extended Stay America 2.7 $4.2M 233k 17.95
StarTek 2.7 $4.2M 530k 7.88
Univar 2.7 $4.1M 186k 22.16
InnerWorkings 2.4 $3.7M 1.0M 3.62
Children's Place Retail Stores (PLCE) 2.3 $3.5M 36k 97.28
Celestica (CLS) 2.2 $3.4M 398k 8.45
Blue Bird Corp (BLBD) 2.2 $3.3M 195k 16.93
Rev (REVG) 2.1 $3.3M 299k 10.95
Wyndham Hotels And Resorts (WH) 1.6 $2.5M 50k 49.99
Quanta Services (PWR) 1.5 $2.3M 62k 37.73
Ribbon Communication (RBBN) 1.5 $2.3M 440k 5.15
Open Text Corp (OTEX) 1.4 $2.2M 56k 38.44
Mistras (MG) 1.2 $1.9M 135k 13.81
Brightcove (BCOV) 1.2 $1.8M 210k 8.41
Gray Television (GTN) 1.0 $1.5M 70k 21.36
Lear Corporation (LEA) 0.9 $1.3M 9.9k 135.69
Potbelly (PBPB) 0.8 $1.2M 135k 8.51
Resideo Technologies (REZI) 0.7 $1.0M 54k 19.29
Jacobs Engineering 0.4 $609k 8.1k 75.19
Arconic 0.3 $502k 26k 19.10
Amc Networks Inc Cl A (AMCX) 0.3 $439k 7.7k 56.81
ON Semiconductor (ON) 0.2 $253k 12k 20.57
Sierra Wireless 0.1 $227k 18k 12.38
Stericycle (SRCL) 0.1 $190k 3.5k 54.38
Nautilus (BFXXQ) 0.1 $178k 32k 5.57
Corepoint Lodging Inc. Reit 0.1 $169k 15k 11.16
AZZ Incorporated (AZZ) 0.1 $152k 3.7k 41.03
Bluelinx Hldgs (BXC) 0.1 $155k 5.8k 26.72
Shutterfly 0.1 $120k 3.0k 40.58
Altice Usa Inc cl a (ATUS) 0.1 $107k 5.0k 21.40
Atento Sa 0.1 $91k 25k 3.63
Hanesbrands (HBI) 0.1 $77k 4.3k 17.91
Team 0.1 $73k 4.2k 17.59
Spx Flow 0.1 $82k 2.6k 31.99
Flextronics International Ltd Com Stk (FLEX) 0.0 $61k 6.1k 10.01
Amber Road 0.0 $58k 6.7k 8.63
Avid Technology 0.0 $9.0k 1.2k 7.41
Trinity Biotech 0.0 $12k 4.3k 2.79