BRIDGEWAY CAPITAL MANAGEMENT, LLC Q1 2019 Filing

Filed May 15, 2019

Portfolio Value

$8.0B

Holdings

1,334

Report Date

Q1 2019

Filing Type

13F-HR

All Holdings (1,334 positions)

StockValue
MRAMEVERSPIN TECHNOLOGIES INC
$394K
KNDIKANDI TECHNOLOGIES GROUP INC
$393K
CVRCHICAGO RIVET & MACH CO
$392K
ASTA FDG INC
$390K
SDPIUSDSUPERIOR DRILLING PRODS INC
$388K
NUVECTRA CORP
$386K
FREDS INC
$382K
HIGHPOWER INTL INC
$382K
DRRXEURDURECT CORP
$380K
SFESSAFEGUARD SCIENTIFICS INC
$380K
NATHNATHANS FAMOUS INC NEW
$376K
GMREUSDGLOBAL MED REIT INC
$375K
CVA1EURCOVANTA HLDG CORP
$375K
NTICNORTHERN TECH INTL CORP
$373K
CONSTELLATION PHARMCETICLS I
$373K
VIVUS INC
$373K
IRIXIRIDEX CORP
$372K
MTNBEURMATINAS BIOPHARMA HLDGS INC
$371K
MXMAGNACHIP SEMICONDUCTOR CORP
$370K
OPBKOP BANCORP
$366K
AXRAMREP CORP NEW
$366K
NEOS THERAPEUTICS INC
$365K
XOMAXOMA CORP DEL
$365K
JASNQJASON INDS INC
$365K
OSGAMBAC FINL GROUP INC
$361K
INTERMOLECULAR INC
$360K
FAMOUS DAVES AMER INC
$358K
CRVSCORVUS PHARMACEUTICALS INC
$358K
SEACHANGE INTL INC
$355K
LCNBLCNB CORP
$355K
GENMARK DIAGNOSTICS INC
$354K
CASTLE BRANDS INC
$354K
APPLIED GENETIC TECHNOL CORP
$349K
LILIS ENERGY INC
$345K
CAASEURCHINA AUTOMOTIVE SYS INC
$344K
FIRST GTY BANCSHARES INC
$341K
BLONDER TONGUE LABS INC
$338K
PB BANCORP INC
$333K
HABIT RESTAURANTS INC
$330K
EXTREXTREME NETWORKS INC
$327K
AVDAMERICAN VANGUARD CORP
$325K
RNGRRANGER ENERGY SVCS INC
$324K
RAILFREIGHTCAR AMER INC
$321K
ITICINVESTORS TITLE CO
$320K
ROCKWELL MED INC
$320K
NANTKWEST INC
$318K
CTSCTS CORP
$317K
GRCGORMAN RUPP CO
$316K
APPSDIGITAL TURBINE INC
$315K
CLRUSDCONTINENTAL RESOURCES INC
$313K
LZBLA Z BOY INC
$313K
TRTN-PATRITON INTL LTD
$311K
WCPCPI AEROSTRUCTURES INC
$310K
ACCSISSUER DIRECT CORPORATION
$309K
VCELVERICEL CORP
$308K
FEIMFREQUENCY ELECTRS INC
$308K
OPHTHOTECH CORP
$307K
DESTINATION MATERNITY CORP
$306K
CULPCULP INC
$306K
LMBLIMBACH HLDGS INC
$305K
UNIQUE FABRICATING INC
$302K
BMOBANK MONTREAL QUE
$299K
ZAFGEN INC
$299K
YB4PSAVARA INC
$295K
U.S. AUTO PARTS NETWORK INC
$295K
HZN1USDHORIZON GLOBAL CORP
$291K
ACUACME UTD CORP
$291K
9YYASHFORD INC
$289K
AIRTAIR T INC
$287K
FLLFULL HOUSE RESORTS INC
$285K
RMCFROCKY MTN CHOCOLATE FACTORY
$285K
AMSAMERICAN SHARED HOSPITAL SVC
$282K
OPITQOFFICE PPTYS INCOME TR
$280K
SSBISUMMIT ST BK SANTA ROSA CALI
$272K
KEY ENERGY SVCS INC DEL
$271K
IMPMIMPAC MTG HLDGS INC
$270K
GTIMGOOD TIMES RESTAURANTS INC
$267K
HHSHARTE-HANKS INC
$267K
SIENUSDSIENTRA INC
$267K
MRINMARIN SOFTWARE INC
$266K
DAIODATA I O CORP
$266K
ESPESPEY MFG & ELECTRS CORP
$265K
SERVICESOURCE INTL INC
$263K
ENSERVCO CORP
$263K
MERSANA THERAPEUTICS INC
$262K
TELIGENT INC NEW
$260K
UFPTUFP TECHNOLOGIES INC
$258K
WESTELL TECHNOLOGIES INC
$257K
WIRELESS TELECOM GROUP INC
$256K
QAD INC
$256K
NATIONAL HOLDINGS CORP
$253K
RILYB RILEY FINL INC
$251K
BIOANALYTICAL SYS INC
$251K
TWIN RIV WORLDWIDE HLDGS INC
$251K
CIDARA THERAPEUTICS INC
$250K
MSNEMERSON RADIO CORP
$250K
SSI3EURSTAGE STORES INC
$249K
DOVER MOTORSPORTS INC
$249K
IMMUNE DESIGN CORP
$248K
VSTMVERASTEM INC
$248K
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