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  Name: Medina Singh Partners LLC
  City: Los Angeles
  State: CA
  Zip: 90064
   
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Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $162,258,000
  Total Value Change : $7,527,000
  Securities Held Change : -6
   
All Securities Held : 13
  New Positions : 2
  Closed Positions : 8
  Increased Positions : 11
  Unchanged Positions : 0
  Decreased Positions : 0

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Holdings Found : 21     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
   (DESP)1 Year Chart         DESP Despegar.com, Corp 1 - $12.07 $27,911,000 2,950,386 17.2% 10,102,000 494,024 4.236    N/A
   (TMST)1 Year Chart         TMST Timkensteel Corp 2 - $20.55 $23,635,000 1,007,874 14.57% 4,047,000 106,033 2.232    N/A
   (DOLE)1 Year Chart         DOLE Dole Ord Shs 3 - $12.18 $21,247,000 1,728,842 13.09% 3,975,000 237,338 1.857    N/A
   (TGLS)1 Year Chart         TGLS Tecnoglass Inc 4 - $52.61 $17,794,000 389,282 10.97% 9,558,000 139,394 0.844    N/A
   (ATMU)1 Year Chart         ATMU Atmus Filtration Technologi... 5 - $30.17 $11,935,000 508,085 7.36% 2,784,000 69,180 0.61    N/A
   (TROX)1 Year Chart         TROX Tronox Holdings Plc 6 - $17.09 $10,551,000 745,125 6.5% 2,066,000 113,829 0.519    N/A
   (AZZ)1 Year Chart         AZZ AZZ Inc 7 - $72.24 $9,916,000 170,694 6.11% 3,923,000 39,214 0.655    Industrial Equipment ...
   (ACCO)1 Year Chart         ACCO Acco Brands Corp 8 - $4.76 $8,233,000 1,354,070 5.07% 556,000 16,651 1.433    Office Supplies
   (TYG)1 Year Chart         TYG Tortoise Energy Infrastruct... 9 - $4.86 $7,061,000 245,412 4.35% 230,000 9,055 0.409    Closed - End Fund - E...
   (VTOL)1 Year Chart         VTOL Bristow Group Inc 10 - $5.16 $6,746,000 238,641 4.16% 900,000 31,109 0.788    AirDelivery & Freight...
   (EVRI)1 Year Chart         EVRI Everi Holdings Inc 11 New $8.04 $6,599,000 585,579 4.07% 6,599,000 585,579 0.665    Credit Services
   (TGNA)1 Year Chart         TGNA Tegna Inc 12 - $13.89 $6,576,000 429,805 4.05% 1,153,000 57,636 0.196    Publishing
   (STKL)1 Year Chart         STKL Sunopta Inc 13 New $6.04 $4,054,000 741,164 2.5% 4,054,000 741,164 0.702    Diversified Machinery
   (PACK)1 Year Chart         PACK Ranpak Holdings Corp 17 Closed $7.33 $0 0 0% -4,428,000 -814,000 0    N/A
   (MCRI)1 Year Chart         MCRI Monarch Casino & Resort Inc 16 Closed $68.47 $0 0 0% -4,186,000 -67,401 0    Gambling/Resorts
   (INT)1 Year Chart         INT World Fuel Services Corp 15 Closed $23.37 $0 0 0% -5,097,000 -227,245 0    Basic Materials Whole...
   (SHYF)1 Year Chart         SHYF Shyft Group Inc 21 Closed $16.89 $0 0 0% -3,825,000 -255,512 0    Trucks & Other Vehicles
   (TRN)1 Year Chart         TRN Trinity Industries Inc 14 Closed $29.55 $0 0 0% -9,418,000 -386,760 0    Railroads
   (RYAM)1 Year Chart         RYAM Rayonier Advanced Materials... 20 Closed $3.85 $0 0 0% -2,311,000 -652,804 0    N/A
   (SIX)1 Year Chart         SIX Six Flags Inc 19 Closed $23.53 $0 0 0% -6,609,000 -281,104 0    Sporting and Park Ent...
   (MCS)1 Year Chart         MCS Marcus Corp 18 Closed $13.11 $0 0 0% -6,546,000 -422,335 0    Lodging

      21 Records Found
  1    
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