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Wynnefield Capital 13F holdings, Q1 2002

Holdings as of March 31, 2002 · filings on SEC EDGAR · latest filing →

Wynnefield Capital disclosed 84 US equity positions worth $160.6m in its Q1 2002 13F filing. The largest position was PSMT at 7.7% of the reported book, followed by Sylvan Inc and CTB Intl. Corp. Against the Q4 2001 filing, it opened 7 new positions, added to 10 and reduced 12 among the top 50 holdings.

← Q4 2001 · Q2 2002 →

What did Wynnefield Capital own in Q1 2002? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs Q4 2001
1 PSMT Pricesmart Inc Consumer Defensive 7.7%$12.3m338,600 4% added
2 Sylvan Inc 7.6%$12.2m1,068,886 0% held
3 CTB Intl. Corp 6.8%$10.9m723,701 0% held
4 First Aviation Svcs 6.0%$9.6m2,085,692 0% held
5 Layne Christensen Co 4.4%$7.0m765,000 1% added
6 MNRO Monro Muffler Brake Inc Consumer Cyclical 4.0%$6.4m375,200 0% held
7 Cherokee Inc. DEL 3.6%$5.8m400,000 0% held
8 Bally Total Fitness 3.4%$5.5m250,000 new
9 MTR Gaming Group, Inc 3.1%$5.0m323,400 -9% reduced
10 LabOne, Inc 3.1%$5.0m290,000 -2% reduced
11 World Wrestling 3.0%$4.8m330,000 0% held
12 Tasty Baking Co 2.6%$4.2m230,000 -12% reduced
13 VTR Ventas Inc Real Estate 2.4%$3.9m305,000 -23% reduced
14 Pinnacle Entertainment 2.1%$3.4m420,000 20% added
15 Westmoreland Coal Co 2.0%$3.3m98,600 0% held
16 Sequa Corporation 1.7%$2.7m51,700 -4% reduced
17 RRC Range Res Corp Energy 1.6%$2.6m500,000 16% added
18 GIII G-III Apparel Group Consumer Cyclical 1.5%$2.4m307,432 -0% held
19 CMCO Columbus McKinnon Industrials 1.5%$2.3m189,200 11% added
20 Supervalu Inc 1.4%$2.3m90,200 -18% reduced
21 FSTR Foster L B Co Industrials 1.3%$2.1m365,500 0% held
22 BMY Bristol Myers Squibb Co Healthcare 1.3%$2.0m50,000 new
23 Nuance Communications, 1.2%$1.9m275,000 3% added
24 BBSI Barrett Business Industrials 1.2%$1.9m506,400 0% held
25 Gemstar-TV Guide Intl 1.1%$1.8m120,600 new
26 Cadiz Inc 1.1%$1.7m200,000 -41% reduced
27 ADE Corp. Mass 1.0%$1.6m106,150 35% added
28 ICO Holdings Inc 0.9%$1.5m1,062,843 0% held
29 Be Free Inc 0.9%$1.5m900,000 new
30 Wellsford Real 0.9%$1.4m70,000 0% held
31 PEW PC-Tel Inc 0.9%$1.4m160,000 45% added
32 Herbalife Intl Inc 0.9%$1.4m100,000 0% held
33 Frozen Food Express 0.8%$1.3m546,980 0% held
34 GFF Griffon Corp Industrials 0.8%$1.3m75,750 -20% reduced
35 PTek Holdings, Inc 0.8%$1.2m302,000 0% held
36 TSN Tyson Foods, Inc Consumer Defensive 0.8%$1.2m96,668 -3% reduced
37 Alltrista Corp 0.7%$1.2m42,100 2% added
38 Chronimed Inc 0.7%$1.2m172,600 0% held
39 Ladish Inc 0.7%$1.1m103,450 -54% reduced
40 Eldertrust 0.7%$1.1m135,000 8% added
41 Price Legacy Corp 0.6%$1.0m325,333 new
42 Syntellect Inc 0.6%$1.0m600,800 0% held
43 Prima Energy Corp 0.6%$971.0k39,000 0% held
44 Keystone Automotive 0.6%$968.0k56,900 -22% reduced
45 Avenue A Inc 0.6%$945.0k300,000 new
46 Stamps.com, Inc 0.6%$932.0k210,000 -41% reduced
47 Marten Trans Ltd 0.6%$925.0k51,400 new
48 MIDD Middleby Corp Industrials 0.6%$924.0k146,400 0% held
49 Niagara Corp 0.6%$918.0k507,119 0% held
50 Royal Olympic Cruise 0.5%$881.0k370,000 0% held

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.