Cramer Rosenthal McGlynn

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Portfolio Holdings for Cramer Rosenthal Mcglynn

Cramer Rosenthal Mcglynn holds 86 positions in its portfolio as reported in the March 2026 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Bankunited (BKU) 4.4 $60M -13% 1.3M 45.16
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Skyline Corporation (SKY) 4.2 $57M -8% 767k 74.37
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Regal-beloit Corporation (RRX) 3.4 $47M -13% 249k 187.26
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Hub (HUBG) 3.0 $42M +22% 1.2M 36.04
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Evergy (EVRG) 2.6 $35M -10% 427k 81.92
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Teledyne Technologies Incorporated (TDY) 2.5 $34M +4% 57k 605.01
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MKS Instruments (MKSI) 2.5 $34M -35% 148k 229.81
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Sun Communities (SUI) 2.5 $34M +5% 269k 125.96
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Semtech Corporation (SMTC) 2.3 $32M NEW 415k 76.89
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First Interstate Bancsystem (FIBK) 2.2 $31M -13% 914k 33.40
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Willscot Mobile Mini Holdin Cl A Ord (WSC) 2.2 $30M -5% 1.7M 17.36
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Steven Madden (SHOO) 2.2 $29M +7% 866k 33.92
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Range Resources (RRC) 2.2 $29M -37% 649k 45.18
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Knowles (KN) 2.0 $27M -23% 1.1M 25.68
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Vail Resorts (MTN) 1.9 $26M +6% 203k 128.32
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Terreno Realty Corporation (TRNO) 1.9 $25M -8% 414k 61.42
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Cooper Cos (COO) 1.8 $25M +10% 351k 71.50
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Victorias Secret And (VSCO) 1.8 $25M +8% 533k 46.36
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Lendingclub Corp (LC) 1.7 $24M 1.7M 14.32
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First American Financial (FAF) 1.7 $23M -11% 383k 60.29
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Concentra Group Holdings Par (CON) 1.7 $23M -46% 1.1M 21.45
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Bio-techne Corporation (TECH) 1.7 $23M -33% 436k 52.26
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H.B. Fuller Company (FUL) 1.6 $22M +32% 353k 61.68
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Tower Semiconductor (TSEM) 1.6 $22M -61% 123k 175.48
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BJ's Restaurants (BJRI) 1.5 $21M -7% 593k 35.10
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American Axle & Manufact. Holdings (DCH) 1.5 $21M NEW 3.5M 5.93
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Qnity Electronics (Q) 1.4 $20M +83% 169k 115.38
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Canadian Pacific Kansas City (CP) 1.4 $19M -22% 246k 78.66
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Matador Resources (MTDR) 1.4 $18M -7% 292k 63.18
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Acva (ACVA) 1.2 $17M -7% 3.9M 4.24
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Atmos Energy Corporation (ATO) 1.2 $17M -39% 90k 184.72
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TFS Financial Corporation (TFSL) 1.2 $17M 1.2M 14.05
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Xylem (XYL) 1.2 $16M 138k 119.50
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Advanced Drain Sys Inc Del (WMS) 1.2 $16M -12% 120k 137.13
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Woodward Governor Company (WWD) 1.1 $15M +2% 43k 357.92
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TETRA Technologies (TTI) 1.1 $15M -4% 1.8M 8.52
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Burlington Stores (BURL) 1.1 $15M -54% 45k 325.38
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Vontier Corporation (VNT) 1.0 $14M -53% 393k 35.47
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Xenia Hotels & Resorts (XHR) 1.0 $13M +14% 883k 14.83
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Applied Industrial Technologies (AIT) 0.9 $13M +4% 49k 265.32
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Biolife Solutions (BLFS) 0.9 $12M NEW 633k 19.08
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Microchip Technology (MCHP) 0.9 $12M 181k 64.61
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Ashland (ASH) 0.9 $12M +26% 210k 55.61
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Ciena Corporation (CIEN) 0.9 $12M -69% 30k 388.23
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Ametek (AME) 0.8 $12M +2% 54k 214.36
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Truist Financial Corp equities (TFC) 0.8 $11M -2% 243k 45.97
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Global Payments (GPN) 0.8 $11M +13% 163k 67.30
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Advance Auto Parts (AAP) 0.8 $11M +33% 203k 52.75
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Evercore Partners (EVR) 0.8 $11M -56% 36k 298.51
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Sensient Technologies Corporation (SXT) 0.8 $10M +18% 119k 86.44
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Timken Company (TKR) 0.8 $10M NEW 102k 100.57
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Capitol Federal Financial (CFFN) 0.8 $10M -2% 1.4M 7.13
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Omnicell (OMCL) 0.7 $10M +21% 303k 33.38
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Nextera Energy (NEE) 0.7 $9.9M +1452% 107k 92.88
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Capital One Financial (COF) 0.7 $9.7M -4% 53k 182.43
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Gates Industrial Corpratin P ord (GTES) 0.7 $9.6M NEW 427k 22.61
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Avery Dennison Corporation (AVY) 0.7 $9.5M +3% 55k 172.68
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Viavi Solutions Inc equities (VIAV) 0.7 $9.5M +82% 286k 33.28
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Crh (CRH) 0.7 $9.3M -5% 89k 105.12
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Cbre Group Inc Cl A (CBRE) 0.7 $9.0M -2% 67k 135.46
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Quaker Chemical Corporation (KWR) 0.6 $8.6M +88% 69k 124.23
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Broadcom (AVGO) 0.6 $8.3M +562% 27k 309.51
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Valvoline Inc Common (VVV) 0.6 $8.3M +6% 246k 33.68
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Camden Property Trust (CPT) 0.6 $8.3M +6% 85k 97.66
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USD.001 Central Pacific Financial (CPF) 0.6 $8.3M -18% 259k 31.96
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Moelis & Co (MC) 0.5 $7.3M -41% 129k 57.00
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Stewart Information Services Corporation (STC) 0.5 $6.6M -2% 106k 61.58
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Ultra Clean Holdings (UCTT) 0.4 $5.9M NEW 94k 62.18
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Bank of Hawaii Corporation (BOH) 0.4 $5.9M -23% 79k 74.25
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Cohu (COHU) 0.4 $5.8M NEW 188k 30.62
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Independence Realty Trust In (IRT) 0.4 $5.5M -2% 368k 14.89
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Zoominfo Technologies (GTM) 0.4 $5.3M -73% 890k 5.98
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M/I Homes (MHO) 0.4 $5.2M NEW 42k 122.45
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Middlesex Water Company (MSEX) 0.4 $4.9M -10% 94k 52.05
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Chesapeake Utilities Corporation (CPK) 0.4 $4.8M -25% 38k 126.37
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Louisiana-Pacific Corporation (LPX) 0.3 $4.5M NEW 62k 72.75
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Lancaster Colony (MZTI) 0.3 $4.1M +90% 30k 138.33
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Eagle Materials (EXP) 0.3 $4.0M +3% 21k 189.45
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Clearwater Paper (CLW) 0.3 $3.8M +19% 266k 14.38
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Hayward Hldgs (HAYW) 0.3 $3.7M -84% 276k 13.38
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Adtran Holdings (ADTN) 0.3 $3.6M NEW 287k 12.58
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Charles Schwab Corporation (SCHW) 0.1 $1.9M -4% 21k 93.98
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Citigroup (C) 0.1 $1.8M -11% 16k 113.41
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Danaher Corporation (DHR) 0.1 $1.2M +36% 6.5k 189.60
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Forgent Power Solutions Inc Com Shs Cl A (FPS) 0.1 $1.0M NEW 35k 29.27
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Spdr Series Trust Etf (BIL) 0.1 $877k NEW 9.6k 91.64
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Past Filings by Cramer Rosenthal Mcglynn

SEC 13F filings are viewable for Cramer Rosenthal Mcglynn going back to 2010

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