Lapides Asset Management, LLC

13F Portfolio Filings

  • Most recent 13F
    Q2 2023
  • Location
    greenwich, CT
  • CIK
    0001357993
  • All SEC filings
Q2 2023
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

51

$152.97M
EEFT, IWM, KN, CRTO
13F-HR
Aug 4, 2023
000135799323000004

50

$165.00K
CRTO, EEFT, KN, XRAY
13F-HR
Apr 27, 2023
000135799323000003

51

$188.00K
CRTO, AVD, KN, EEFT
13F-HR
Jan 27, 2023
000135799323000002

53

$175.54M
ADTN, AVD, ECOM, ADT INC DEL
13F-HR
Oct 27, 2022
000135799322000005

60

$200.45M
AVD, EEFT, GRIFOLS S A, ADTN
13F-HR
Aug 2, 2022
000135799322000004

63

$228.09M
EEFT, RXT, HMHC, AVD
13F-HR
Apr 28, 2022
000135799322000003

72

$229.38M
EEFT, RXT, VRNT, XPERI HOLDING CORP
13F-HR
Jan 31, 2022
000135799322000001

81

$241.33M
RXT, ADTALEM GLOBAL ED INC, HMHC, XPERI HOLDING CORP
13F-HR
Oct 27, 2021
000135799321000005

80

$250.75M
RXT, HMHC, XPERI HOLDING CORP, SUM
13F-HR
Jul 26, 2021
000135799321000004

74

$239.05M
RXT, XPERI HOLDING CORP, WRK, HMHC
13F-HR
May 3, 2021
000135799321000003

68

$232.65M
XPERI HOLDING CORP, VRNT, WRK, NIELSEN HLDGS PLC
13F-HR
Feb 4, 2021
000135799321000001

63

$182.25M
VRNT, XPERI HOLDING CORP, HBI, BDC
13F-HR
Nov 2, 2020
000135799320000007

61

$173.09M
VRNT, CALX, BDC, SFM
13F-HR
Jul 30, 2020
000135799320000006

62

$132.74M
BDC, CALX, VRNT, SUM
13F-HR
May 7, 2020
000135799320000004

65

$191.79M
BDC, CALX, POLY, VRNT
13F-HR
Jan 29, 2020
000135799320000001

70

$193.66M
BDC, POLY, CALX, SUM
13F-HR
Oct 30, 2019
000135799319000005

72

$216.81M
BDC, CALX, SUM, VRNT
13F-HR
Jul 30, 2019
000135799319000004

78

$264.94M
CALX, VRNT, BDC, SUM
13F-HR
Apr 30, 2019
000135799319000003

81

$246.84M
CALX, BDC, VRNT, HMHC
13F-HR
Feb 13, 2019
000135799319000001

84

$457.86M
CALX, BDC, VRNT, SFM
13F-HR
Oct 30, 2018
000135799318000009

82

$470.35M
VRNT, CALX, BDC, PBI
13F-HR
Jul 31, 2018
000135799318000008

85

$455.80M
VRNT, CALX, PBI, VF2
13F-HR
May 1, 2018
000135799318000007

85

$460.98M
VRNT, VF2, PBI, CALX
13F-HR
Feb 8, 2018
000135799318000001

90

$488.18M
VF2, PBI, VRNT, HMHC
13F-HR
Nov 7, 2017
000135799317000013

87

$517.16M
PBI, VF2, VRNT, HMHC
13F-HR
Aug 4, 2017
000135799317000011

86

$533.14M
VRNT, VF2, PBI, CALX
13F-HR
May 18, 2017
000135799317000008

83

$556.91M
VF2, HUN, VRNT, KN
13F-HR
Feb 7, 2017
000135799317000001

79

$587.39M
MTX, HUN, HARMAN INTL INDS INC, KN
13F-HR
Nov 8, 2016
000135799316000018

78

$540.90M
HUN, KN, MTX, HARMAN INTL INDS INC
13F-HR
Aug 8, 2016
000135799316000017

75

$560.63M
HUN, BDC, MTX, NCR CORP NEW
13F-HR
Apr 27, 2016
000135799316000015

91

$571.12M
PTC, CALX, VF2, HUN
13F-HR
Feb 10, 2016
000135799316000010

92

$581.14M
PTC, VF2, NCR CORP NEW, CALX
13F-HR
Nov 6, 2015
000135799315000008

88

$628.46M
PTC, NVRI, NCR CORP NEW, VF2
13F-HR
Aug 6, 2015
000135799315000007

83

$602.25M
PTC, NCR CORP NEW, AMDOCS LTD, NVRI
13F-HR
Apr 17, 2015
000135799315000006

75

$739.62M
PTC, VF2, NCR CORP NEW, AMDOCS LTD
13F-HR
Feb 11, 2015
000135799315000005

76

$707.66M
PTC, AMDOCS LTD, VF2, CALX
13F-HR
Nov 7, 2014
000135799314000015

73

$739.18M
PTC, VF2, AMDOCS LTD, MINI
13F-HR
Aug 8, 2014
000135799314000010

69

$713.49M
PTC, VF2, AMDOCS LTD, MINI
13F-HR
May 8, 2014
000135799314000008

69

$731.94M
PTC, VF2, IWN, MINI
13F-HR
Feb 10, 2014
000135799314000002