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  Name: 13D Management LLC
  City: New York
  State: NY
  Zip: 10107
   
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Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $169,945,000
  Total Value Change : $9,198,000
  Securities Held Change : 1
   
All Securities Held : 29
  New Positions : 3
  Closed Positions : 2
  Increased Positions : 11
  Unchanged Positions : 0
  Decreased Positions : 15

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Holdings Found : 15     View All Holdings Currently Viewing:  Decreased Positions     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
   (FRPT)1 Year Chart         FRPT Freshpet, Inc. 1 - $106.36 $10,834,000 124,871 6.38% 545,000 -31,306 0.203    N/A
   (NSIT)1 Year Chart         NSIT Insight Enterprises Inc 3 - $182.75 $8,123,000 45,842 4.78% -4,092,000 -38,111 0.114    Catalog & Mail Order ...
   (GDDY)1 Year Chart         GDDY Godaddy Inc. 4 - $125.01 $7,892,000 74,344 4.64% -552,000 -39,032 0.045    N/A
   (EXEL)1 Year Chart         EXEL Exelixis Inc 5 - $23.70 $7,430,000 309,702 4.37% -3,052,000 -170,026 0.1    Research Services
   (WIX)1 Year Chart         WIX WIX.COM Ltd 6 - $120.81 $7,214,000 58,637 4.24% -1,630,000 -37,699 0.105    N/A
   (BRKS)1 Year Chart         BRKS Brooks Automation Inc 8 - $52.18 $7,171,000 110,085 4.22% 463,000 -23,567 0.149    Semiconductor Equipme...
   (THS)1 Year Chart         THS TreeHouse Foods Inc 9 - $35.84 $6,984,000 168,482 4.11% -5,736,000 -123,394 0.279    Processed & Packaged ...
   (ALV)1 Year Chart         ALV Autoliv Inc 11 - $114.83 $5,911,000 53,647 3.48% -1,769,000 -25,954 0.061    Auto Parts
   (MRCY)1 Year Chart         MRCY Mercury Systems 12 - $29.08 $5,887,000 160,986 3.46% -1,504,000 -38,283 0.277    Communication Equipment
   (ABG)1 Year Chart         ABG Asbury Automotive Group Inc 14 - $221.97 $5,855,000 26,026 3.45% -1,628,000 -6,500 0.104    Auto Dealerships
   (USFD)1 Year Chart         USFD Us Foods Holding Corp. 15 - $51.35 $5,572,000 122,714 3.28% -2,328,000 -76,276 0.05    N/A
   (PSO)1 Year Chart         PSO Pearson Plc (ADR) 17 - $12.38 $5,412,000 440,384 3.18% -2,573,000 -317,199 0.058    Publishing
   (MDU)1 Year Chart         MDU MDU Resources Group Inc 19 - $24.67 $5,185,000 261,871 3.05% -4,102,000 -212,429 0.131    Multi Utilities
   (KNF)1 Year Chart         KNF Knife River Holding Co 26 - $78.25 $4,242,000 64,095 2.5% -211,000 -27,092 0.113    N/A
   (AMRN)1 Year Chart         AMRN Amarin Corp Plc 29 - $0.87 $792,000 910,475 0.47% -590,000 -591,202 0.233    Drug Manufacturers - ...

      15 Records Found
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