QUADRANT CAPITAL GROUP LLC Q1 2018 Filing

Filed May 10, 2018

Portfolio Value

$275.8M

Holdings

2,267

Report Date

Q1 2018

Filing Type

13F-HR

All Holdings (2,267 positions)

StockValue
InfraREIT Inc
$2K
JAPSYJapan Airlines Co Ltd
$2K
BFSSaul Centers Inc
$2K
ASPEN INSURANCE HOLDINGS LTD
$2K
LCIILci Inds
$2K
DRHDiamondrock Hospitality Co
$2K
MTXMinerals Technologies Inc
$2K
SBSISouthside Bancshares Inc
$2K
KNXKNIGHT-SWIFT TRANSPORTATION HOLDINGS INC A
$2K
AEBAALLETE Inc
$2K
HQYHealthEquity Inc
$2K
NBHCNational Bank Holdings Corp
$2K
El Paso Electric Co
$2K
Orthofix International NV
$2K
HASHasbro Inc
$2K
MSMMSC Industrial Direct Co Inc
$2K
MLMMartin Marietta Materials Inc
$2K
MANHManhattan Associates Inc
$2K
COHRII-VI Inc
$2K
EIGEmployers Holdings Inc
$2K
AWGAsbury Automotive Group Inc
$2K
WSRWhitestone REIT
$2K
ARNCCHFARCONIC INC
$2K
TPDTempur Sealy International Inc
$2K
SOMMYSumitomo Chemical Co Ltd
$2K
BCBrunswick Corp
$2K
NATINATIONAL INSTRUMENTS CORP
$2K
BofI Holding Inc
$2K
GRCGorman-Rupp Co
$2K
Atlantia SpA
$2K
VMIValmont Industries Inc
$2K
Essendant Inc
$2K
HAFCHanmi Financial Corp
$2K
INNSummit Hotel Properties Inc
$2K
WYWEYERHAEUSER CO
$2K
SNPUSDChina Petroleum & Chemical Corp
$2K
UCBUnited Community Banks Inc
$2K
NUSNU SKIN ENTERPRISES INC CLASS A
$2K
BUSDBarnes Group Inc
$2K
GRA1EURW R Grace & Co
$2K
AU3EURAngloGold Ashanti Ltd
$2K
MFS1EURWELBILT INC
$2K
OFGOFG Bancorp
$2K
Unit Corp
$2K
Anixter International Inc
$2K
EBIXEUREbix Inc
$2K
Asahi Glass Co Ltd
$2K
Navigant Consulting Inc
$2K
MMSIMerit Medical Systems Inc
$2K
CPKChesapeake Utilities Corp
$2K
FCNFTI Consulting Inc
$2K
California Resources Corp
$2K
MAKSYMarks & Spencer Group PLC ADR
$2K
NSANational Storage Affiliates Trust
$2K
DBDEURDiebold Inc
$2K
CHRChurchill Downs Inc
$2K
AKRAcadia Realty Trust
$2K
UI2Kemper Corp
$2K
AMDADVANCED MICRO DEVICES INC
$2K
AK Steel Holding Corp
$1K
LZBLa-Z-Boy Inc
$1K
JSR Corp
$1K
PRAAPRA GROUP INC
$1K
APOGApogee Enterprises Inc
$1K
Nanometrics Inc
$1K
ZGZillow Group Inc
$1K
SFBSServisfirst Bancshares Inc
$1K
Multi-Color Corp
$1K
CVBFCVB Financial Corp
$1K
JC Penney Co Inc
$1K
BHEBenchmark Electronics Inc
$1K
WAFDWashington Federal Inc
$1K
IPARInter Parfums Inc
$1K
CYHCommunity Health Systems Inc
$1K
LLLumber Liquidators Holdings Inc
$1K
BMRCBank of Marin Bancorp
$1K
SUXSYNNEX Corp
$1K
Akorn Inc
$1K
VSHVishay Intertechnology Inc
$1K
OMCLOmnicell Inc
$1K
OGM1Cogent Communications Holdings Inc
$1K
CIBEYCommercial International Bank (Egypt) SAE
$1K
IDAIdacorp Inc
$1K
AAWWUSDAtlas Air Worldwide Holdings Inc
$1K
HOLXHOLOGIC INC
$1K
BMSBemis Co Inc
$1K
CHS1USDChico s FAS Inc
$1K
CTVHelix Energy Solutions Group Inc
$1K
PDCOEURPatterson Companies Inc
$1K
HAINThe Hain Celestial Group Inc
$1K
HOKCYHong Kong and China Gas Co Ltd
$1K
SEMSelect Medical Holdings Corp
$1K
Ramco-Gershenson Properties Trust
$1K
The Medicines Co
$1K
Cielo SA
$1K
PZZAPapa John s International Inc
$1K
BHP Billiton PLC
$1K
HXGBYHexagon AB
$1K
Src Energy Inc
$1K
GMABGenmab A/S
$1K
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