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Wynnefield Capital 13F holdings, Q3 2000

Holdings as of September 30, 2000 · filings on SEC EDGAR · latest filing →

Wynnefield Capital disclosed 105 US equity positions worth $155.1m in its Q3 2000 13F filing. The largest position was PSMT at 7.5% of the reported book, followed by Sylvan Inc and First Aviation Svcs.

· Q4 2000 →

What did Wynnefield Capital own in Q3 2000? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs prior
1 PSMT Pricesmart Inc Consumer Defensive 7.5%$11.6m300,000
2 Sylvan Inc 6.6%$10.2m1,063,586
3 First Aviation Svcs 6.1%$9.5m1,879,392
4 Delta & Pine Ld Co 4.2%$6.5m253,500
5 General 3.2%$5.0m702,640
6 CTB Intl Corp 3.2%$5.0m672,500
7 Ambassadors Intl 2.9%$4.5m241,200
8 Tasty Baking Co 2.8%$4.4m409,861
9 Key3Media Group Inc 2.8%$4.3m391,000
10 MNRO Monro Muffler Brake Consumer Cyclical 2.6%$4.1m374,500
11 Baker J Inc 2.6%$4.1m902,000
12 Westmoreland Coal 2.5%$3.9m761,700
13 Ladish Inc 2.4%$3.8m291,017
14 BBSI Barrett Business Industrials 2.2%$3.4m675,000
15 Sequa Corporation 2.1%$3.2m75,000
16 Commonwealth Tel 1.9%$3.0m81,375
17 B I Incorporated 1.8%$2.9m352,325
18 Airgas Inc 1.7%$2.7m391,400
19 Aviall Inc. New 1.7%$2.6m400,000
20 Hello Direct Inc 1.7%$2.6m250,000
21 Syntellect Inc 1.4%$2.2m250,600
22 U.S. Inds Inc. New 1.4%$2.2m220,000
23 GATX Gatx Corp Industrials 1.3%$2.1m50,000
24 GLW Corning Inc Technology 1.3%$2.1m7,000
25 VTR Ventas Inc Real Estate 1.3%$2.0m405,000
26 Simon Transn Svcs 1.3%$2.0m322,000
27 DCO Ducommun Inc Del Industrials 1.2%$1.8m126,900
28 Tropical Sportswear 1.1%$1.7m100,000
29 Westmoreland Coal 1.1%$1.6m82,200
30 Layne Christensen 1.0%$1.6m401,500
31 Ellis Perry Intl 1.0%$1.6m200,000
32 Six Flags Inc 1.0%$1.6m100,000
33 Blonder Tongue Labs 1.0%$1.5m257,200
34 Crestline Cap Corp 1.0%$1.5m75,000
35 PBOC Hldgs Inc 1.0%$1.5m178,800
36 GIII G-III Apparel Group Consumer Cyclical 0.9%$1.5m207,132
37 Specialty Catalog 0.9%$1.3m534,699
38 WST West Pharmaceutical Healthcare 0.8%$1.3m54,942
39 Niagara Corp 0.8%$1.2m335,619
40 Jo-Ann Stores Inc 0.8%$1.2m182,200
41 Vitech Amer Inc 0.7%$1.2m300,109
42 NVRI Harsco Corp Industrials 0.7%$1.1m50,000
43 Keystone Automotive 0.7%$1.1m220,000
44 Channell Coml Corp 0.7%$1.0m78,700
45 Autotote Corp 0.6%$985.0k250,000
46 ICO Hldgs Inc 0.6%$980.0k490,000
47 Armor Holdings Inc 0.6%$941.0k62,700
48 Ampal Amern Israel 0.6%$923.0k70,000
49 Printrak Intl Inc 0.5%$848.0k71,000
50 Water Pik 0.5%$823.0k84,950

Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.