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  Name: P2 CAPITAL PARTNERS, LLC
  City: NEW YORK
  State: NY
  Zip: 10022
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $845,902,000
  Total Value Change : $-62,703,000
  Securities Held Change : 0
   
All Securities Held : 15
  New Positions : 1
  Closed Positions : 1
  Increased Positions : 4
  Unchanged Positions : 0
  Decreased Positions : 10

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Holdings Found : 16     View All Holdings Currently Viewing:  ALL     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (CBZ)1 Year Chart         CBZ CBIZ Inc 1 - $74.48 $109,822,000 1,399,011 12.98% -46,352,000 -1,096,186 2.559    Business Services
   (ACHC)1 Year Chart         ACHC Acadia Healthcare Company Inc 2 - $73.18 $102,986,000 1,300,000 12.17% -3,545,000 -70,000 1.312    N/A
   (BLKB)1 Year Chart         BLKB Blackbaud Inc 3 - $79.32 $97,980,000 1,321,558 11.58% -45,330,000 -331,381 2.307    Business Software & S...
   (TNC)1 Year Chart         TNC Tennant Co 4 - $102.52 $79,216,000 651,391 9.36% 13,264,000 -60,139 3.527    Diversified Machinery
   (JBT)1 Year Chart         JBT John Bean Technologies Corp 5 - $93.44 $68,330,000 651,442 8.08% 12,992,000 95,000 2.019    Diversified Machinery
   (MIR)1 Year Chart         MIR Mirion Technologies, Inc 6 - $10.54 $62,762,000 5,520,000 7.42% 2,829,000 -327,122 2.767    N/A
   (FUL)1 Year Chart         FUL HB Fuller Co 7 - $79.40 $51,810,000 649,735 6.12% -7,930,000 -84,078 1.21    Specialty Chemicals
   (AVNT)1 Year Chart         AVNT Avient Inc 8 - $25.41 $49,408,000 1,138,435 5.84% -577,000 -64,000 1.244    Synthetics
   (LIVN)1 Year Chart         LIVN LivaNova PLC 9 - $59.60 $44,752,000 800,000 5.29% 773,000 -50,000 1.414    Medical Appliances & ...
   (SITE)1 Year Chart         SITE SiteOne Landscape Supply Inc 10 - $154.32 $44,570,000 255,342 5.27% -10,064,000 -80,869 0.51    N/A
   (SHC)1 Year Chart         SHC Sotera Health Co 11 - $0.00 $35,430,000 2,950,000 4.19% -4,168,000 600,000 1.063    N/A
   (ENSG)1 Year Chart         ENSG Ensign Group Inc 12 New $120.16 $28,617,000 230,000 3.38% 28,617,000 230,000 0.406    Long-Term Care Facili...
   (IAS)1 Year Chart         IAS Integral Ad Science Holding... 13 - $9.79 $26,720,000 2,680,000 3.16% 15,576,000 1,905,600 1.741    N/A
   (OPCH)1 Year Chart         OPCH Option Care Health 14 - $29.04 $23,342,000 695,946 2.76% 10,323,000 309,500 0.373    Specialized Health Se...
   (RCM)1 Year Chart         RCM R1 Rcm Inc 15 - $12.48 $20,157,000 1,565,000 2.38% -17,211,000 -1,970,294 0.421    N/A
   (PINC)1 Year Chart         PINC Premier, Inc. 16 Closed $18.99 $0 0 0% -11,900,000 -532,201 0    N/A

      16 Records Found
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