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Wynnefield Capital 13F holdings, Q4 2000

Holdings as of December 31, 2000 · filings on SEC EDGAR · latest filing →

Wynnefield Capital disclosed 104 US equity positions worth $140.6m in its Q4 2000 13F filing. The largest position was PSMT at 7.1% of the reported book, followed by Sylvan Inc and First Aviation Svcs Inc. Against the Q3 2000 filing, it opened 5 new positions, added to 23 and reduced 10 among the top 50 holdings.

← Q3 2000 · Q1 2001 →

What did Wynnefield Capital own in Q4 2000? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs Q3 2000
1 PSMT Pricesmart Inc Consumer Defensive 7.1%$10.0m305,000 2% added
2 Sylvan Inc 7.0%$9.8m1,074,386 1% added
3 First Aviation Svcs Inc 6.4%$9.0m2,057,092 9% added
4 Westmoreland Coal Co 4.9%$7.0m761,700 0% held
5 Delta & Pine Ld Co 4.5%$6.3m300,000 18% added
6 CTB Intl Corp 4.1%$5.8m723,500 8% added
7 Key3Media Group Inc 3.4%$4.8m391,000 0% held
8 Tasty Baking Co 3.4%$4.7m337,661 -18% reduced
9 Baker J Inc 3.3%$4.6m1,058,950 17% added
10 Ambassadors Intl Inc 3.2%$4.5m241,200 0% held
11 General Communication 3.0%$4.2m606,640 -14% reduced
12 MNRO Monro Muffler Brake Inc Consumer Cyclical 2.4%$3.3m374,500 0% held
13 Ladish Inc 2.1%$2.9m271,017 -7% reduced
14 Commonwealth Tel 2.0%$2.8m80,375 -1% reduced
15 Sequa Corporation 1.9%$2.7m75,000 0% held
16 Airgas Inc 1.9%$2.7m391,400 0% held
17 BBSI Barrett Business Industrials 1.7%$2.5m702,500 4% added
18 VTR Ventas Inc Real Estate 1.6%$2.3m405,000 0% held
19 Layne Christensen Co 1.6%$2.3m700,000 74% added
20 Westmoreland Coal Co 1.4%$2.0m99,000 20% added
21 U.S. Inds Inc. New 1.4%$2.0m250,000 14% added
22 Simon Transn Svcs Inc 1.4%$2.0m387,500 20% added
23 Crestline Cap Corp 1.4%$1.9m75,000 0% held
24 Six Flags Inc 1.3%$1.9m110,000 10% added
25 Syntellect Inc 1.2%$1.7m455,800 82% added
26 Keystone Automotive 1.1%$1.6m230,000 5% added
27 Aviall Inc. New 1.1%$1.5m300,000 -25% reduced
28 AIR AAR Corp Industrials 1.1%$1.5m120,000 new
29 WST West Pharmaceutical Healthcare 1.0%$1.5m59,942 9% added
30 Tropical Sportswear 1.0%$1.4m100,000 0% held
31 Vitech Amer Inc 0.9%$1.3m345,109 15% added
32 Royal Olympic Cruise 0.9%$1.3m466,400 new
33 GIII G-III Apparel Group Ltd Consumer Cyclical 0.8%$1.2m205,132 -1% reduced
34 CTN Media Group Inc 0.8%$1.2m236,200 275% added
35 Sunsource Inc 0.8%$1.1m363,500 809% added
36 Specialty Catalog Corp 0.8%$1.1m553,699 4% added
37 Armor Holdings Inc 0.8%$1.1m62,700 0% held
38 IT Group Inc 0.7%$1.0m201,900 68% added
39 ICO Hldgs Inc 0.7%$949.0k490,000 0% held
40 SOS Staffing Svcs Inc 0.6%$885.0k590,000 195% added
41 AVGO Broadcom Corp Technology 0.6%$841.0k10,000 new
42 Blonder Tongue Labs Inc 0.6%$794.0k254,000 -1% reduced
43 NVRI Harsco Corp Industrials 0.5%$741.0k30,000 -40% reduced
44 Autotote Corp 0.5%$738.0k250,000 0% held
45 Niagara Corp 0.5%$726.0k464,619 38% added
46 DCO Ducommun Inc. Del Industrials 0.5%$664.0k60,000 -53% reduced
47 PLCE Childrens PL Retail Consumer Cyclical 0.4%$606.0k30,000 new
48 West Coast Bancorp Ore 0.4%$601.0k62,000 new
49 Water Pik Technologies 0.4%$600.0k85,650 1% added
50 Jo-Ann Stores Inc 0.4%$583.0k137,200 -25% reduced

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.