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  Name: BARD ASSOCIATES INC
  City: CHICAGO
  State: IL
  Zip: 60603
   
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Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $263,337,000
  Total Value Change : $21,789,000
  Securities Held Change : -14
   
All Securities Held : 173
  New Positions : 1
  Closed Positions : 14
  Increased Positions : 40
  Unchanged Positions : 19
  Decreased Positions : 113

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Holdings Found : 40     View All Holdings Currently Viewing:  Increased 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
   (CELH)1 Year Chart         CELH Celsius Holdings Inc 3 - $82.81 $5,872,000 107,700 2.23% -288,000 71,800 0.15    Beverage Soft Drinks...
   (SELF)1 Year Chart         SELF Global Self Storage Inc 22 - $5.15 $3,145,000 679,184 1.19% -147,000 1,749 7.256    Closed - End Fund - F...
   (EXE)1 Year Chart         EXE Crexendo Inc 25 - $3.86 $3,027,000 624,062 1.15% 1,712,000 920 4.371    Internet Software & S...
   (VMD)1 Year Chart         VMD Viemed Healthcare Ord Shs 33 - $0.00 $2,656,000 338,335 1.01% 2,424,000 303,880 0.879    N/A
   (INTT)1 Year Chart         INTT Intest Corp 34 - $10.08 $2,652,000 195,000 1.01% -284,000 1,475 1.852    Semiconductor - Integ...
   (VICI)1 Year Chart         VICI Vici Properties Inc. 35 - $29.50 $2,570,000 79,612 0.98% 233,000 395 0.008    N/A
   (LGL)1 Year Chart         LGL LGL Group Inc 36 - $5.43 $2,565,000 417,786 0.97% 1,294,000 121,403 8.019    Conglomerates
   (PSTL)1 Year Chart         PSTL Postal Realty Trust, Inc. 40 - $13.76 $2,384,000 163,725 0.91% 189,000 1,125 2.079    N/A
   (ISDR)1 Year Chart         ISDR Issuer Direct Corporation 51 - $10.00 $2,119,000 116,860 0.8% -74,000 234 3.953    Publishing
   (ITI)1 Year Chart         ITI Iteris Inc 56 - $4.60 $1,869,000 359,419 0.71% 386,000 1,190 0.878    Systems, Products & D...
   (BKTI)1 Year Chart         BKTI BK Technologies Inc 58 - $4.27 $1,695,000 138,617 0.64% 116,000 11,485 1.108    Communication Equipment
   (MDV)1 Year Chart         MDV MODIV INC 60 - $15.33 $1,611,000 107,465 0.61% -166,000 1,590 1.441    N/A
   (POLA)1 Year Chart         POLA Polar Power, Inc. 78 - $0.38 $1,140,000 2,806,023 0.43% 795,000 2,495,000 27.665    N/A
   (ORCC)1 Year Chart         ORCC Owl Rock Capital Corp 80 - $0.00 $1,108,000 73,360 0.42% 74,000 420 0.019    N/A
   (TACT)1 Year Chart         TACT Transact Technologies Inc 81 - $3.84 $1,089,000 155,975 0.41% 99,000 1,750 1.747    Computer Peripherals
   (RMNI)1 Year Chart         RMNI Rimini Street, Inc 82 - $2.34 $1,015,000 310,300 0.39% 341,000 3,975 0.407    N/A
   (GDX)1 Year Chart         GDX VanEck Vectors Gold Miners ETF 83 - $34.07 $928,000 29,916 0.35% 128,000 200 0.007    Closed - End Fund - E...
   (JYNT)1 Year Chart         JYNT Joint Corp 96 - $16.44 $764,000 79,549 0.29% 78,000 3,250 0.566    N/A
   (UMH)1 Year Chart         UMH UMH Properties Inc 97 - $16.12 $763,000 49,835 0.29% 79,000 1,060 0.086    REIT - Housing/Apartm...
   (HROW)1 Year Chart         HROW Harrow Health Inc 101 - $11.60 $740,000 66,050 0.28% -201,000 600 0.257    Biotechnology
   (PLYM)1 Year Chart         PLYM Plymouth Industrial Reit Inc. 103 - $20.87 $734,000 30,203 0.28% 110,000 754 0.07    N/A
   (AMPG)1 Year Chart         AMPG Amplitech Group, Inc. 109 - $2.31 $675,000 359,113 0.26% -34,000 8,000 3.845    N/A
   (NEPH)1 Year Chart         NEPH Nephros Inc 111 - $0.62 $648,000 187,318 0.25% 373,000 1,279 1.881    Medical Equipment Who...
   (BBCP)1 Year Chart         BBCP Concrete Pumping Holdings, Inc 112 - $0.00 $625,000 76,200 0.24% -23,000 625 0.264    N/A
   (WFCF)1 Year Chart         WFCF Where Food Comes From 114 - $11.64 $612,000 45,150 0.23% 2,000 1,535 0.738    Farm Products
   (BBDC)1 Year Chart         BBDC Barings BDC Inc 115 - $9.72 $610,000 71,050 0.23% -16,000 778 0.109    Credit Services
   (INHI)1 Year Chart         INHI Infusystems Holdings Inc 116 - $7.28 $559,000 53,025 0.21% 50,000 250 0.233    Medical Instruments &...
   (HASI)1 Year Chart         HASI Hannon Armstrong Sustainabl... 118 - $32.08 $507,000 18,124 0.19% 138,000 720 0.02    REIT - Diversified
   (LPTH)1 Year Chart         LPTH Lightpath Technologies Inc 119 - $1.44 $455,000 361,100 0.17% -64,000 3,000 1.383    Semiconductor Equipme...
   (TCX)1 Year Chart         TCX Tucows Inc 126 - $18.12 $435,000 16,120 0.17% 122,000 800 0.152    Internet Service Prov...
   (WHF)1 Year Chart         WHF Whitehorse Finance, Inc. 127 - $12.75 $433,000 34,120 0.16% -8,000 565 0.166    N/A
   (CLFD)1 Year Chart         CLFD Clearfield Inc 133 - $37.03 $340,000 11,684 0.13% 16,000 393 0.086    Medical Instruments &...
   (INDS)1 Year Chart         INDS Pacer Benchmark Industrial ... 144 - $0.00 $269,000 6,418 0.1% 67,000 650 0.019    N/A
   (REZ)1 Year Chart         REZ iShares FTSE NAREIT Resid P... 146 - $73.72 $254,000 3,459 0.1% 48,000 360 0.027    Closed - End Fund - Debt
   (KYN)1 Year Chart         KYN Kayne Anderson Mlp Investme... 149 - $9.83 $241,000 27,493 0.09% 62,000 6,774 0.022    Closed - End Fund - Debt
   (GMRE)1 Year Chart         GMRE Global Medical Reit Inc 151 - $8.89 $211,000 18,647 0.08% 49,000 1,020 0.039    N/A
   (FLL)1 Year Chart         FLL Full House Resorts Inc 154 - $5.10 $194,000 36,075 0.07% 49,000 2,100 0.106    Gambling/Resorts
   (SOTK)1 Year Chart         SOTK Sono Tek Corp 157 - $4.89 $137,000 25,280 0.05% 16,000 2,030 0.169    Diversified Machinery
   (DAIO)1 Year Chart         DAIO Data I/O Corp 163 - $2.91 $71,000 24,250 0.03% -13,000 2,175 0.288    Scientific & Technica...
   (REPR)1 Year Chart         REPR Repro Medical Systems Inc 164 - $2.22 $66,000 26,710 0.03% 7,000 4,910 0.07    Medical Instruments &...

      40 Records Found
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