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Latest KESTREL INVESTMENT MANAGEMENT CORP Stock Portfolio

$147Million

Equity Portfolio Value
Last Reported on: 31 Jan, 2024

About KESTREL INVESTMENT MANAGEMENT CORP and it’s 13F Hedge Fund Stock Holdings

KESTREL INVESTMENT MANAGEMENT CORP is a hedge fund based in San Mateo, CA. On 03-Aug-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $178 Millions. In it's latest 13F Holdings report, KESTREL INVESTMENT MANAGEMENT CORP reported an equity portfolio of $147.8 Millions as of 31 Dec, 2023.

The top stock holdings of KESTREL INVESTMENT MANAGEMENT CORP are ATGE, TPH, CRC. The fund has invested 5.5% of it's portfolio in ADTALEM GLOBAL EDUC INC and 5.4% of portfolio in TRI POINTE HOMES INC.

The fund managers got completely rid off AVID TECHNOLOGY INC (AVID), VERADIGM INC (MDRX) and KOPPERS HOLDINGS INC (KOP) stocks. They significantly reduced their stock positions in CONSENSUS CLOUD SOLNS INC (CCSI), PERFICIENT INC (PRFT) and SOUTHSIDE BANCSHARES INC (SBSI). KESTREL INVESTMENT MANAGEMENT CORP opened new stock positions in NCR ATLEOS CORP and AVANOS MEDICAL INC (AVNS).

New Buys

Ticker$ Bought
NCR ATLEOS CORP3,977,000
AVANOS MEDICAL INC3,265,000
DRIVEN BRANDS HLDGS INC3,067,000

New stocks bought by KESTREL INVESTMENT MANAGEMENT CORP

Additions

No additions were made to existing positions by KESTREL INVESTMENT MANAGEMENT CORP

Reductions

Ticker% Reduced
CONSENSUS CLOUD SOLNS INC-19.73
PERFICIENT INC-19.14
SOUTHSIDE BANCSHARES INC-19.12
OPEN LENDING CORP-18.6
GIBRALTAR INDUSTRIES INC-18.51
VICTORY CAPITAL HLDGS INC-18.49
BANNER CORP-18.48
SP PLUS CORP-18.47

KESTREL INVESTMENT MANAGEMENT CORP reduced stake in above stock

Sold off

Ticker$ Sold
VERADIGM INC-3,468,000
AVID TECHNOLOGY INC-4,540,000
AMERICAN VANGUARD CORP-1,578,000
KOPPERS HOLDINGS INC-2,964,000

KESTREL INVESTMENT MANAGEMENT CORP got rid off the above stocks

Current Stock Holdings of KESTREL INVESTMENT MANAGEMENT CORP

Last Reported on: 31 Jan, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ATGEADTALEM GLOBAL EDUC INC5.46137,0008,076,000REDUCED-16.26
AVDAMERICAN VANGUARD CORP0.000.000.00SOLD OFF-100
AVIDAVID TECHNOLOGY INC0.000.000.00SOLD OFF-100
AVNSAVANOS MEDICAL INC2.21145,5503,265,000NEW
AXAXOS FINANCIAL INC3.6799,2505,419,000REDUCED-16.98
BANRBANNER CORP2.4066,1503,543,000REDUCED-18.48
BHFBRIGHTHOUSE FINANCIAL INC3.3292,6004,900,000REDUCED-18.41
BSIGBRIGHTSPHERE INV GROUP INC0.8363,7811,222,000REDUCED-16.17
CCRNCROSS COUNTRY HEALTHCARE INC2.61170,5003,860,000REDUCED-18.26
CCSICONSENSUS CLOUD SOLNS INC0.6436,200949,000REDUCED-19.73
CNOCNO FINANCIAL GROUP INC2.98158,1504,412,000REDUCED-15.09
CNXCNX RESOURCES CORP2.88212,4504,249,000REDUCED-16.11
CRCCALIFORNIA RESOURCES CORP5.15139,3007,617,000REDUCED-16.24
DINDINE BRANDS GLOBAL INC1.8053,4502,654,000REDUCED-16.55
DSKEDASEKE INC1.17213,8501,732,000REDUCED-17.64
DTMDT MIDSTREAM INC3.99107,5755,895,000REDUCED-14.67
HRTHIRERIGHT HLDGS CORP1.48162,0502,180,000REDUCED-16.79
IARTINTEGRA LIFESCIENCES HLDGS COR2.95100,0504,357,000REDUCED-18.29
KOPKOPPERS HOLDINGS INC0.000.000.00SOLD OFF-100
KSSKOHL'S CORP2.38122,4003,510,000REDUCED-16.28
LPROOPEN LENDING CORP2.16375,0003,191,000REDUCED-18.6
MDRXVERADIGM INC0.000.000.00SOLD OFF-100
ODPTHE ODP CORP3.6796,3005,422,000REDUCED-15.53
PRFTPERFICIENT INC2.5056,2003,699,000REDUCED-19.14
RDNRADIAN GROUP INC3.85199,4005,693,000REDUCED-16.18
RLGTRADIANT LOGISTICS INC0.58128,499853,000REDUCED-13.82
ROCKGIBRALTAR INDUSTRIES INC4.8290,2507,128,000REDUCED-18.51
SAICSCIENCE APP INTL CORP2.0224,0502,990,000REDUCED-13.02
SBSISOUTHSIDE BANCSHARES INC1.4970,2002,199,000REDUCED-19.12
SMPSTANDARD MOTOR PROD INC1.8066,9002,663,000REDUCED-15.53
SPSP PLUS CORP1.9656,5002,896,000REDUCED-18.47
THCTENET HEALTHCARE CORP4.6390,6006,847,000REDUCED-16.27
TPHTRI POINTE HOMES INC5.38224,6507,953,000REDUCED-16.03
VCTRVICTORY CAPITAL HLDGS INC3.01129,2004,450,000REDUCED-18.49
VSTOVISTA OUTDOOR INC3.25162,5504,807,000REDUCED-16.06
XPERXPERI INC0.5573,821814,000REDUCED-15.75
PHINIA INC3.48169,8005,143,000REDUCED-16.15
NCR ATLEOS CORP2.69163,7503,977,000NEW
ADEIA INC2.18260,3133,225,000REDUCED-18.3
DRIVEN BRANDS HLDGS INC2.08215,1003,067,000NEW
VITESSE ENERGY INC1.99134,3502,941,000REDUCED-16.68