Kassirer Asset Management Corp (1659420) Portfolio


Number of Companies: 73
Inflow: $108,052 K
Outflow: $-12,625 K
Net Flow: $95,427 K
2016-06-30: Recent SEC Filing
2016-03-31: 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)
498 5 Cascade Microtech Inc (CSCD) Semiconductor Mfg 0 Sold All -80,512 $ $0 $0
1065 6 China Ming Yang Wind Pow (MY) Renewable Energy Equipment 0 Sold All -200,000 $ $0 $0
716 6 Phoenix Companies Inc (PNX) Life Insurance 0 Sold All -24,885 $ $0 $0
419 14 Qlik Technologies Inc (QLIK) Application Software 300,000 New Holding 300,000 $29.58 $8,874 $8,874
2537 256 Privatebancorp Inc (PVTB) Banks 200,100 New Holding 200,100 $44.03 $8,810 $8,810
2883 24 Linkedin Corp - A (LNKD) Internet Media 40,000 New Holding 40,000 $189.25 $7,570 $7,570
2338 20 Examworks Group Inc (EXAM) Health Care Services 189,948 New Holding 189,948 $34.85 $6,619 $6,619
556 9 Axiall Corp (AXLL) Basic And Diversified Chemicals 194,000 New Holding 194,000 $32.61 $6,326 $6,326
2636 8 Fei Company (FEIC) Other Hardware 54,600 New Holding 54,600 $106.88 $5,835 $5,835
47 2 Qihoo 360 Technology Co (QIHU) Internet Media 99,092 Added More 66,132 $73.05 $4,830 $7,238
2432 7 Lexmark International Inc-A (LXK) Office Electronics 110,000 New Holding 110,000 $37.75 $4,152 $4,152
338 4 Heartware International Inc (HTWR) Medical Devices 70,000 New Holding 70,000 $57.75 $4,042 $4,042
2791 27 St Jude Medical Inc (STJ) Medical Devices 50,000 New Holding 50,000 $78.00 $3,900 $3,900
887 6 Electro Rent Corp (ELRC) Industrial Distribution And Rental 247,056 New Holding 247,056 $15.41 $3,807 $3,807
713 27 Sciquest Inc (SQI) Application Software 206,680 New Holding 206,680 $17.66 $3,649 $3,649
683 4 Elizabeth Arden Inc (RDEN) Household Products 262,500 New Holding 262,500 $13.76 $3,612 $3,612
2033 5 E-House China Holdings (EJ) Real Estate Services 505,444 New Holding 505,444 $6.47 $3,270 $3,270
112 2 Dreamworks Animation Skg-A (DWA) Entertainment Content 74,800 New Holding 74,800 $40.87 $3,057 $3,057
2222 15 Qlogic Corp (QLGC) Computer Hardware And Storage 186,700 New Holding 186,700 $14.74 $2,751 $2,751
804 8 Higher One Holdings Inc (ONE) Consumer Finance 500,000 New Holding 500,000 $5.11 $2,555 $2,555
356 8 Xenoport Inc (XNPT) Specialty Pharma 356,711 New Holding 356,711 $7.04 $2,511 $2,511
2108 8 E-Commerce China -A (DANG) Ecommerce Discretionary 375,000 Added More 315,000 $6.05 $1,905 $2,268
359 9 Westar Energy Inc (WR) Integrated Utilities 30,000 New Holding 30,000 $56.09 $1,682 $1,682
2467 20 Valspar Corpthe (VAL) Specialty Chemicals 40,000 Added More 15,000 $108.03 $1,620 $4,321
1808 10 Skullcandy Inc (SKUL) Consumer Electronics 249,200 New Holding 249,200 $6.14 $1,530 $1,530
218 3 Starz - A (STRZA) Entertainment Content 50,000 New Holding 50,000 $29.92 $1,496 $1,496
425 16 Demandware Inc (DWRE) Application Software 19,500 New Holding 19,500 $74.90 $1,460 $1,460
2786 9 Ingram Micro Inc-Cl A (IM) Consumer Elec And Applc Whslrs 110,120 Added More 40,000 $34.78 $1,391 $3,829
271 14 Astoria Financial Corp (AF) Banks 190,664 Added More 90,664 $15.33 $1,389 $2,922
2540 78 Cash America Intl Inc (CSH) Application Software 31,530 New Holding 31,530 $42.62 $1,343 $1,343
2565 32 Krispy Kreme Doughnuts Inc (KKD) Restaurants 61,400 New Holding 61,400 $20.96 $1,286 $1,286
845 55 Resource America Inc-Cl A (REXI) Reit 130,725 New Holding 130,725 $9.72 $1,270 $1,270
528 1 Rite Aid Corp (RAD) Food And Drug Stores 200,000 Added More 100,000 $7.49 $749 $1,498
1616 5 Morgans Hotel Group Co (MHGC) Lodging 300,000 New Holding 300,000 $2.14 $642 $642
2635 262 Firstmerit Corp (FMER) Banks 205,000 Added More 30,000 $20.27 $608 $4,155
1129 23 Mines Management Inc (MGN) Precious Metal Mining 550,000 New Holding 550,000 $1.06 $583 $583
1947 11 Tivo Inc (TIVO) Consumer Electronics 50,000 New Holding 50,000 $9.90 $495 $495
395 1 Rofin-Sinar Technologies Inc (RSTI) Metalworking Machinery 76,538 Added More 15,038 $31.94 $480 $2,444
771 5 Reachlocal Inc (RLOC) Advertising And Marketing 100,000 New Holding 100,000 $4.55 $455 $455
1178 11 Ku6 Media Co Ltd (KUTV) Internet Media 331,774 New Holding 331,774 $1.02 $338 $338
2840 47 Allstate Corp (ALL) P And C Insurance 2,950 New Holding 2,950 $69.95 $206 $206
2675 9 Bank Of Montreal (BMO) Diversified Banks 3,236 New Holding 3,236 $63.39 $205 $205
2682 17 Transcanada Corp (TRP) Midstream Oil And Gas 4,500 New Holding 4,500 $45.22 $203 $203
1240 11 Airmedia Group Inc (AMCN) Publishing And Broadcasting 100,000 Added More 50,000 $3.43 $171 $343
2216 48 Polycom Inc (PLCM) Communications Equipment 10,000 New Holding 10,000 $11.25 $112 $112
2307 50 21vianet Group Inc (VNET) Telecom Carriers 10,000 New Holding 10,000 $10.21 $102 $102
1635 43 Transition Therapeutics Inc (TTHI) Specialty Pharma 50,000 New Holding 50,000 $1.47 $73 $73
1580 51 Sky-Mobi Ltd (MOBI) Application Software 38,400 New Holding 38,400 $1.88 $72 $72
2633 17 Emc Corpma (EMC) Computer Hardware And Storage 40,000 No Change 0 $27.17 $0 $1,086
1775 50 Sinovac Biotech Ltd (SVA) Specialty Pharma 10,000 No Change 0 $5.93 $0 $59
2867 22 Manulife Financial Corp (MFC) Life Insurance 11,900 No Change 0 $13.67 $0 $162
2790 12 Royal Bank Of Canada (RY) Diversified Banks 4,581 No Change 0 $59.09 $0 $270
2527 9 Suncor Energy Inc (SU) Integrated Oils 9,464 No Change 0 $27.73 $0 $262
2678 10 Bank Of Nova Scotia (BNS) Diversified Banks 9,253 No Change 0 $49.01 $0 $453
2482 22 Tumi Holdings Inc (TUMI) Apparel Footwear And Acc Design 30,000 No Change 0 $26.74 $0 $802
350 4 Apollo Residential Mortgage (AMTG) Mortgage Finance 75,000 No Change 0 $13.40 $0 $1,005
2892 267 Toronto-Dominion Bank (TD) Banks 12,200 No Change 0 $42.93 $0 $523
2461 252 Icici Bank Ltd (IBN) Banks 17,000 No Change 0 $7.18 $0 $122
1911 9 De Grey Mining Ltd (DEG) Food And Drug Stores 38,800 No Change 0 $26.26 $0 $1,018
1993 223 Wilshire Bancorp Inc (WIBC) Banks 139,521 No Change 0 $10.42 $0 $1,453
555 1 Multi-Fineline Electronix In (MFLX) Electronics Components 20,998 Sold Some -1,289 $23.20 $-29 $487
2802 266 Can Imperial Bk Of Commerce (CM) Banks 0 Sold All -4,000 $75.07 $-300 $0
2988 6 Cablevision Systems-Ny Grp-A (CVC) Cable And Satellite 0 Sold All -11,200 $34.87 $-390 $0
229 1 Syngenta Ag (SYT) Agricultural Chemicals 0 Sold All -7,000 $76.79 $-537 $0
407 4 Carmike Cinemas Inc (CKEC) Entertainment Facilities 0 Sold All -18,400 $30.12 $-554 $0
2691 38 Questar Corp (STR) Utility Networks 0 Sold All -27,000 $25.37 $-684 $0
7 1 Alere Inc (ALR) Life Science Equipment 5,050 Sold Some -17,250 $41.68 $-718 $210
2468 108 Rouse Properties Inc (RSE) Reit 0 Sold All -42,200 $18.25 $-770 $0
324 4 Empire District Electric Co (EDE) Utility Networks 22,523 Sold Some -33,450 $33.97 $-1,136 $765
394 5 Piedmont Natural Gas Co (PNY) Utility Networks 0 Sold All -19,800 $60.12 $-1,190 $0
2404 31 Agl Resources Inc (GAS) Utility Networks 0 Sold All -20,300 $65.97 $-1,339 $0
2938 11 Starwood Hotels And Resorts (HOT) Lodging 0 Sold All -24,759 $73.95 $-1,830 $0
2393 14 Apollo Education Group Inc (APOL) Educational Services 0 Sold All -344,500 $9.12 $-3,141 $0