Bard Associates Inc (1105907) Portfolio


Number of Companies: 78
Inflow: $5,197 K
Outflow: $-2,893 K
Net Flow: $2,304 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
1872 13 Hooper Holmes Inc (HH) Health Care Services 10,185,535 New Holding 10,185,535 $0.14 $1,425 $1,425
5 1 Targa Resources Corp (TRGP) Midstream Oil And Gas 44,415 New Holding 44,415 $29.86 $1,326 $1,326
1074 9 Globalscape Inc (GSB) Infrastructure Software 301,155 New Holding 301,155 $3.80 $1,144 $1,144
1045 5 Microvision Inc (MVIS) Consumer Electronics 227,294 New Holding 227,294 $1.87 $425 $425
1145 16 Willdan Group Inc (WLDN) Professional Services 246,614 Added More 12,445 $9.65 $120 $2,379
701 12 Psivida Corp (PSDV) Specialty Pharma 111,809 Added More 40,000 $2.68 $107 $299
1728 8 Kratos Defense And Security (KTOS) Engineering Services 161,493 Added More 16,350 $4.95 $80 $799
297 2 Team Inc (TISI) Engineering Services 86,635 Added More 2,455 $30.37 $74 $2,631
1263 7 Envirostar Inc (EVI) Industrial Distribution And Rental 471,989 Added More 22,550 $3.25 $73 $1,533
870 17 Cumberland Pharmaceuticals (CPIX) Specialty Pharma 93,975 Added More 15,350 $4.49 $68 $421
1131 13 Harvard Bioscience Inc (HBIO) Life Science Equipment 377,925 Added More 20,450 $3.02 $61 $1,141
1540 19 Inventure Foods Inc (SNAK) Packaged Food 26,950 Added More 10,750 $5.65 $60 $152
1943 10 General Finance Corp (GFN) Commercial Finance 190,700 Added More 10,400 $4.56 $47 $869
1614 1 Acme United Corp (ACU) Home And Office Product Whslrs 158,193 Added More 2,725 $16.34 $44 $2,584
299 3 Ensign Group Incthe (ENSG) Health Care Facilities 135,690 Added More 1,710 $22.63 $38 $3,072
743 9 Sparton Corp (SPA) Life Science Equipment 148,810 Added More 1,860 $17.99 $33 $2,677
1455 13 Intest Corp (INTT) Semiconductor Mfg 354,985 Added More 6,750 $3.90 $26 $1,384
1077 12 Cpi Aerostructures Inc (CVU) Aircraft And Parts 111,275 Added More 3,400 $7.33 $24 $815
1672 30 Arlington Asset Investment-A (AI) Mortgage Finance 70,595 Added More 665 $12.53 $8 $884
2203 24 Sunopta Inc (STKL) Packaged Food 260,755 Added More 1,100 $4.46 $4 $1,162
1415 11 Dakota Plains Holdings Inc (DAKP) Midstream Oil And Gas 16,200 No Change 0 $0.09 $0 $1
641 4 Seaspan Corp (SSW) Marine Shipping 27,560 No Change 0 $18.34 $0 $505
632 12 Rait Financial Trust (RAS) Mortgage Finance 10,000 No Change 0 $3.14 $0 $31
1693 23 Gp Strategies Corp (GPX) Professional Services 9,250 No Change 0 $27.40 $0 $253
503 36 Senior Housing Prop Trust (SNH) Reit 17,195 No Change 0 $17.88 $0 $307
2435 107 Lasalle Hotel Properties (LHO) Reit 13,890 No Change 0 $25.30 $0 $351
3 1 Boston Beer Company Inc-A (SAM) Beverages 2,950 No Change 0 $185.07 $0 $545
972 60 Umh Properties Inc (UMH) Reit 65,625 No Change 0 $9.92 $0 $651
2353 24 Abaxis Inc (ABAX) Life Science Equipment 24,600 No Change 0 $45.38 $0 $1,116
78 3 Franco-Nevada Corp (FNV) Precious Metal Mining 13,670 No Change 0 $61.38 $0 $839
2525 28 Hain Celestial Group Inc (HAIN) Packaged Food 27,000 No Change 0 $40.91 $0 $1,104
616 22 Gran Tierra Energy Inc (GTE) Exploration And Production 35,503 Sold Some -650 $2.47 $-1 $87
758 19 Sandstorm Gold Ltd (SAND) Precious Metal Mining 324,841 Sold Some -600 $3.29 $-1 $1,068
1255 16 Rcm Technologies Inc (RCMT) It Services 82,545 Sold Some -450 $5.31 $-2 $438
1338 35 Burcon Nutrascience Corp (BUR) Specialty Pharma 93,167 Sold Some -963 $2.57 $-2 $239
1737 9 Layne Christensen Company (LAYN) Infrastructure Construction 17,355 Sold Some -400 $7.19 $-2 $124
1954 80 First Potomac Realty Trust (FPO) Reit 48,570 Sold Some -700 $9.06 $-6 $440
2301 247 Signature Bank (SBNY) Banks 2,350 Sold Some -50 $136.11 $-6 $319
1256 32 Synthetic Biologics Inc (SYN) Specialty Pharma 104,899 Sold Some -3,000 $2.36 $-7 $247
1713 37 Id Systems Inc (IDSY) Communications Equipment 138,650 Sold Some -1,800 $4.34 $-7 $601
2080 87 Corporate Office Properties (OFC) Reit 24,675 Sold Some -325 $26.24 $-8 $647
1297 15 Kmg Chemicals Inc (KMG) Basic And Diversified Chemicals 112,360 Sold Some -400 $23.07 $-9 $2,592
2074 39 Yamana Gold Inc (AUY) Precious Metal Mining 46,515 Sold Some -3,064 $3.04 $-9 $141
2680 50 Royal Gold Inc (RGLD) Precious Metal Mining 19,270 Sold Some -200 $51.29 $-10 $988
1543 42 Evolution Petroleum Corp (EPM) Exploration And Production 449,725 Sold Some -2,200 $4.86 $-10 $2,185
1005 99 Atlantic Coast Financial Cor (ACFC) Banks 119,950 Sold Some -1,800 $6.04 $-10 $724
2099 3 Acacia Research Corp (ACTG) Investment Companies 15,315 Sold Some -2,900 $3.79 $-10 $58
2843 51 Goldcorp Inc (GG) Precious Metal Mining 39,796 Sold Some -700 $16.23 $-11 $645
889 4 Pico Holdings Inc (PICO) Agricultural Producers 109,725 Sold Some -1,125 $10.23 $-11 $1,122
2187 13 Daktronics Inc (DAKT) Consumer Electronics 153,245 Sold Some -1,900 $7.90 $-15 $1,210
1803 1 Carriage Services Inc (CSV) Funeral Services 177,552 Sold Some -725 $21.61 $-15 $3,836
2052 15 Mega Manunggal Property Tbk (MMLP) Real Estate Owners And Developers 32,910 Sold Some -800 $20.08 $-16 $660
2139 8 Marten Transport Ltd (MRTN) Trucking 43,037 Sold Some -900 $18.71 $-16 $805
775 51 Monmouth Real Estate Inv Cor (MNR) Reit 147,455 Sold Some -1,475 $11.89 $-17 $1,753
1767 37 Seabridge Gold Inc (SA) Precious Metal Mining 36,605 Sold Some -1,750 $10.96 $-19 $401
284 8 Pembina Pipeline Corp (PBA) Midstream Oil And Gas 62,290 Sold Some -775 $26.98 $-20 $1,680
1583 6 Mocon Inc (MOCO) Measurement Instruments 94,212 Sold Some -1,540 $13.85 $-21 $1,304
2205 58 Advantage Oil And Gas Ltd (AAV) Exploration And Production 57,800 Sold Some -4,000 $5.49 $-21 $317
70 2 Silver Wheaton Corp (SLW) Precious Metal Mining 74,501 Sold Some -1,370 $16.58 $-22 $1,235
951 59 Gladstone Commercial Corp (GOOD) Reit 74,704 Sold Some -1,400 $16.37 $-22 $1,223
1308 42 Gse Systems Inc (GVP) Application Software 385,090 Sold Some -8,550 $2.73 $-23 $1,051
1898 7 Idex Corp (IEX) Flow Control Equipment 13,805 Sold Some -300 $82.87 $-24 $1,144
1702 6 Celadon Group Inc (CGI) Trucking 36,563 Sold Some -2,402 $10.48 $-25 $383
620 42 Medical Properties Trust Inc (MPW) Reit 103,035 Sold Some -2,100 $12.98 $-27 $1,337
95 5 First Majestic Silver Corp (AG) Precious Metal Mining 245,588 Sold Some -4,439 $6.48 $-28 $1,591
1051 15 Miller Industries Inctenn (MLR) Auto Parts 38,060 Sold Some -1,450 $20.28 $-29 $771
1859 13 Us Physical Therapy Inc (USPH) Health Care Facilities 83,383 Sold Some -605 $49.73 $-30 $4,146
942 58 Preferred Apartment Commun-A (APTS) Reit 155,095 Sold Some -2,450 $12.68 $-31 $1,966
1636 21 Quaker Chemical Corp (KWR) Basic And Diversified Chemicals 30,980 Sold Some -450 $84.86 $-38 $2,628
930 19 Spectrum Pharmaceuticals Inc (SPPI) Specialty Pharma 155,605 Sold Some -6,105 $6.36 $-38 $989
2271 96 Lexington Realty Trust (LXP) Reit 47,803 Sold Some -1,307 $33.43 $-43 $1,598
1716 22 Balchem Corp (BCPC) Basic And Diversified Chemicals 53,505 Sold Some -950 $62.02 $-58 $3,318
2411 55 Ii-Vi Inc (IIVI) Semiconductor Devices 234,344 Sold Some -3,000 $21.70 $-65 $5,087
2896 7 Stericycle Inc (SRCL) Waste Management 35,220 Sold Some -800 $126.19 $-100 $4,444
2739 9 Teva Pharmaceutical (TEVA) Generic Pharma 0 Sold All -3,310 $53.50 $-177 $0
177 5 J And J Snack Foods Corp (JJSF) Packaged Food 0 Sold All -1,800 $108.27 $-194 $0
2615 22 Jack Henry And Associates Inc (JKHY) Consumer Finance 10,100 Sold Some -3,450 $84.57 $-291 $854
588 23 Tyler Technologies Inc (TYL) Application Software 27,200 Sold Some -10,275 $128.61 $-1,321 $3,498