QUADRANT CAPITAL GROUP LLC Q2 2018 Filing

Filed August 9, 2018

Portfolio Value

$285.2M

Holdings

2,258

Report Date

Q2 2018

Filing Type

13F-HR

All Holdings (2,258 positions)

StockValue
NCLHNORWEGIAN CRUISE LINE HOLDINGS LTD
$3K
CALCaleres Inc
$3K
TRMKTRUSTMARK CORP
$3K
VNOVORNADO REALTY TRUST
$3K
HUBBHubbell Inc
$3K
Electronics for Imaging Inc
$3K
SCHLScholastic Corp
$3K
RMAXRE/MAX Holdings Inc
$3K
NAVNavistar International Corp
$3K
AVYAVERY DENNISON CORP
$3K
FHIFederated Investors Inc
$3K
WWDWoodward Inc
$3K
Enel Generacion Chile SA ADR
$3K
WIREEUREncore Wire Corp
$3K
SLG2EURSL Green Realty Corp
$3K
Frontier Communications Corp Class B
$3K
TSAACI Worldwide Inc
$3K
EQTEQT CORP
$3K
HUBGHub Group Inc
$3K
Terraform Pwr Inc Com Cl A
$3K
FUODolby Laboratories Inc
$3K
TCF Financial Corp
$3K
WPWorldpay Inc
$2K
WDWalker & Dunlop Inc
$2K
FOSLFossil Group Inc
$2K
SFNCSimmons First National Corp
$2K
GRA1EURW R Grace & Co
$2K
TFSLTFS FINANCIAL CORP
$2K
MANHManhattan Associates Inc
$2K
EBIXEUREbix Inc
$2K
WGOWinnebago Industries Inc
$2K
ZEN1EURZendesk Inc
$2K
MG1MGE Energy Inc
$2K
Navigant Consulting Inc
$2K
Belmond Ltd Cl A Shs
$2K
GEA Group AG
$2K
Natixis
$2K
Nanometrics Inc
$2K
BROBrown & Brown Inc
$2K
JHGJanus Henderson Group PLC
$2K
FASTFASTENAL CO
$2K
PLXSPlexus Corp
$2K
AAWWUSDAtlas Air Worldwide Holdings Inc
$2K
FCPTFour Corners Property Trust Inc
$2K
VMIValmont Industries Inc
$2K
QLYSQualys Inc
$2K
LIVNLivaNova PLC
$2K
SEESEALED AIR CORP
$2K
SSBUSDSouth St Corp Com
$2K
The Medicines Co
$2K
TTMITTM Technologies Inc
$2K
RVNCEURRevance Therapeutics Inc
$2K
Esterline Technologies Corp
$2K
ORIOLD REPUBLIC INTERNATIONAL CORPORATION
$2K
COHRII-VI Inc
$2K
COKECoca-Cola Bottling Co Consolidated
$2K
FT2First Horizon National Corp
$2K
ASGNOn Assignment Inc
$2K
TEXTEREX CORP
$2K
BofI Holding Inc
$2K
AWGAsbury Automotive Group Inc
$2K
GEFGreif Inc
$2K
SHOOSteven Madden Ltd
$2K
PLCEChildren s Place Inc
$2K
MZTILancaster Colony Corp
$2K
ABEVAmbev SA
$2K
ONON Semiconductor Corp
$2K
SCRYYSCOR SE
$2K
CHEOYCochlear Ltd
$2K
LADLithia Motors Inc Class A
$2K
DATATableau Software Inc
$2K
ASBAssociated Banc-Corp
$2K
BAMBrookfield Asset Management Inc Class A
$2K
KRNYKearny Financial Corp
$2K
Cubic Corp
$2K
CTVHelix Energy Solutions Group Inc
$2K
ALKSAlkermes PLC
$2K
AWRAmerican States Water Co
$2K
Bottomline Technologies Inc
$2K
BBTBerkshire Hills Bancorp Inc
$2K
AU3EURAngloGold Ashanti Ltd
$2K
Electricite de France SA ADR
$2K
CO2ACato Corp
$2K
William Lyon Homes Inc
$2K
CALYCallaway Golf Co
$2K
RG6Rogers Corp
$2K
PENPENUMBRA INC
$2K
NAVINAVIENT CORP
$2K
MMSIMerit Medical Systems Inc
$2K
VCVisteon Corp
$2K
BUSDBarnes Group Inc
$2K
Akorn Inc
$2K
SRSpire Inc
$2K
SPBSpectrum Brands Holdings Inc
$2K
ATNIATN International Inc
$2K
NSANational Storage Affiliates Trust
$2K
SBSISouthside Bancshares Inc
$2K
MEIMethode Electronics Inc
$2K
MFS1EURWELBILT INC
$2K
Hortonworks Inc
$2K
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