Killen Group Inc (861465) Portfolio


Number of Companies: 93
Inflow: $49,426 K
Outflow: $-194,167 K
Net Flow: $-144,741 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)
2227 49 Tessera Technologies Inc (TSRA) Semiconductor Devices 361,978 New Holding 361,978 $31.00 $11,221 $11,221
770 6 Lsi Industries Inc (LYTS) Comml And Res Bldg Equip And Sys 1,040,459 Added More 595,192 $11.75 $6,993 $12,225
562 2 Cts Corp (CTS) Emsodm 741,182 Added More 298,995 $15.74 $4,706 $11,666
2677 18 Nucor Corp (NUE) Steel Producers 86,541 Added More 73,756 $47.29 $3,488 $4,093
2348 5 Rio Tinto Plc (RIO) Steel Raw Material Suppliers 122,825 New Holding 122,825 $28.27 $3,472 $3,472
79 3 Firstenergy Corp (FE) Integrated Utilities 527,681 Added More 88,835 $35.97 $3,195 $18,980
437 5 Cryolife Inc (CRY) Medical Devices 1,424,815 Added More 276,467 $10.75 $2,972 $15,316
2215 20 Symantec Corp (SYMC) Infrastructure Software 387,729 Added More 149,840 $18.37 $2,754 $7,126
2290 9 Gamestop Corp-Class A (GME) Other Spec Retail Discr 82,385 Added More 70,785 $31.73 $2,246 $2,614
548 4 Landauer Inc (LDR) Measurement Instruments 557,706 Added More 64,265 $33.07 $2,125 $18,443
744 18 Gold Resource Corp (GORO) Precious Metal Mining 1,524,559 Added More 701,640 $2.33 $1,634 $3,552
251 2 Express Inc (EXPR) Specialty Apparel Stores 71,000 New Holding 71,000 $21.41 $1,520 $1,520
2473 12 Mosaic Cothe (MOS) Agricultural Chemicals 41,080 Added More 24,680 $27.00 $666 $1,109
713 27 Sciquest Inc (SQI) Application Software 41,816 New Holding 41,816 $13.88 $580 $580
9 1 Devon Energy Corp (DVN) Exploration And Production 24,660 Added More 18,000 $27.44 $493 $676
2475 7 Scripps Networks Inter-Cl A (SNI) Entertainment Content 303,913 Added More 6,836 $65.50 $447 $19,906
2484 13 Pultegroup Inc (PHM) Homebuilders 19,000 New Holding 19,000 $18.70 $355 $355
3050 14 Wells Fargo And Co (WFC) Diversified Banks 12,293 Added More 3,428 $48.36 $165 $594
2950 8 General Motors Co (GM) Automobiles 98,892 Added More 3,512 $31.43 $110 $3,108
312 2 Joy Global Inc (JOY) Construction And Mining Machinery 30,000 Added More 5,000 $16.07 $80 $482
399 2 Cliffs Natural Resources Inc (CLF) Steel Raw Material Suppliers 143,000 Added More 23,000 $3.00 $69 $429
2058 44 Osiris Therapeutics Inc (OSIR) Biotech 40,000 Added More 9,000 $5.71 $51 $228
1155 2 Westmoreland Coal Co (WLB) Coal Operations 70,000 Added More 5,000 $7.21 $36 $504
1239 2 Fuel Tech Inc (FTEK) Pollution Control Equipment 40,000 Added More 15,000 $1.75 $26 $70
3061 12 Chevron Corp (CVX) Integrated Oils 6,970 Added More 145 $95.40 $13 $664
2741 39 Ppl Corp (PPL) Utility Networks 17,320 No Change 0 $38.07 $0 $659
2689 10 Jacobs Engineering Group Inc (JEC) Engineering Services 12,500 No Change 0 $43.54 $0 $544
1484 13 Bebe Stores Inc (BEBE) Specialty Apparel Stores 272,935 Sold Some -27,150 $0.55 $-14 $150
723 16 Pc-Tel Inc (PCTI) Communications Equipment 1,661,722 Sold Some -6,291 $4.78 $-30 $7,943
384 8 Adtran Inc (ADTN) Communications Equipment 26,000 Sold Some -4,000 $20.21 $-80 $525
182 2 Unum Group (UNM) Life Insurance 97,428 Sold Some -3,137 $30.92 $-96 $3,012
2304 52 Alpha And Omega Semiconductor (AOSL) Semiconductor Devices 40,000 Sold Some -10,000 $11.85 $-118 $474
901 3 Thor Industries Inc (THO) Recreational Vehicles 3,895 Sold Some -2,375 $63.77 $-151 $248
2620 48 Helmerich And Payne (HP) Oil And Gas Services And Equip 5,000 Sold Some -2,825 $58.72 $-165 $293
2156 12 Itron Inc (ITRI) Measurement Instruments 10,650 Sold Some -4,000 $41.72 $-166 $444
2527 9 Suncor Energy Inc (SU) Integrated Oils 9,330 Sold Some -6,220 $27.80 $-172 $259
2637 42 Assured Guaranty Ltd (AGO) P And C Insurance 108,057 Sold Some -7,483 $25.29 $-189 $2,733
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 50,193 Sold Some -4,262 $59.22 $-252 $2,972
3072 34 Microsoft Corp (MSFT) Infrastructure Software 0 Sold All -4,945 $55.23 $-273 $0
199 4 Brocade Communications Sys (BRCD) Computer Hardware And Storage 332,856 Sold Some -43,200 $10.58 $-457 $3,521
996 8 Diana Shipping Inc (DSX) Marine Shipping 1,051,219 Sold Some -229,412 $2.67 $-612 $2,806
931 87 Christopher And Banks Corp (CBK) Banks 1,356,241 Sold Some -274,982 $2.39 $-657 $3,241
752 5 Mgp Ingredients Inc (MGPI) Beverages 59,590 Sold Some -27,602 $24.24 $-669 $1,444
236 1 Alcoa Inc (AA) Base Metals 626,921 Sold Some -74,165 $9.58 $-710 $6,005
1823 8 Intrepid Potash Inc (IPI) Agricultural Chemicals 0 Sold All -653,845 $1.11 $-725 $0
2109 12 Sony Corp (SNE) Consumer Electronics 727,665 Sold Some -38,545 $25.71 $-991 $18,715
2683 22 Quest Diagnostics Inc (DGX) Health Care Services 175,339 Sold Some -17,005 $71.44 $-1,215 $12,527
2067 27 Rpx Corp (RPXC) Professional Services 448,747 Sold Some -113,934 $11.26 $-1,282 $5,052
613 7 Unisys Corp (UIS) It Services 283,566 Sold Some -181,944 $7.70 $-1,400 $2,183
810 6 Encore Wire Corp (WIRE) Base Metals 111,247 Sold Some -39,354 $38.93 $-1,532 $4,330
1955 2 Deltic Timber Corp (DEL) Wood Building Materials 112,586 Sold Some -25,785 $60.15 $-1,550 $6,772
459 11 Newpark Resources Inc (NR) Oil And Gas Services And Equip 602,576 Sold Some -379,938 $4.32 $-1,641 $2,603
2994 16 Corning Inc (GLW) Electronics Components 1,046,451 Sold Some -81,640 $20.88 $-1,705 $21,860
392 25 Huntington Bancshares Inc (HBAN) Banks 436,595 Sold Some -205,275 $9.54 $-1,958 $4,165
2847 21 Aflac Inc (AFL) Life Insurance 36,972 Sold Some -35,730 $63.13 $-2,255 $2,334
222 1 Nokia Corp (NOK) Communications Equipment 1,561,448 Sold Some -393,810 $5.91 $-2,327 $9,228
2078 5 Freightcar America Inc (RAIL) Railroad Rolling Stock 299,697 Sold Some -153,022 $15.58 $-2,384 $4,669
979 5 Mcgrath Rentcorp (MGRC) Commercial Finance 134,265 Sold Some -95,431 $25.08 $-2,393 $3,367
2426 6 Pitney Bowes Inc (PBI) Office Electronics 1,124,634 Sold Some -116,836 $21.54 $-2,516 $24,224
2223 7 Winnebago Industries (WGO) Recreational Vehicles 151,794 Sold Some -112,971 $22.45 $-2,536 $3,407
1921 8 Graham Corp (GHM) Flow Control Equipment 345,439 Sold Some -135,446 $19.91 $-2,696 $6,877
1106 13 Navigant Consulting Inc (NCI) Professional Services 373,767 Sold Some -176,487 $15.81 $-2,790 $5,909
2901 3 Mattel Inc (MAT) Toys And Games 447,460 Sold Some -87,450 $33.61 $-2,940 $15,043
1019 101 Dime Community Bancshares (DCOM) Banks 389,827 Sold Some -169,184 $17.62 $-2,981 $6,868
2084 15 Crocs Inc (CROX) Apparel Footwear And Acc Design 405,910 Sold Some -311,670 $9.62 $-2,998 $3,904
487 2 Callaway Golf Company (ELY) Sporting Goods 224,978 Sold Some -329,330 $9.12 $-3,003 $2,051
2259 19 Methode Electronics Inc (MEI) Auto Parts 159,032 Sold Some -111,911 $29.24 $-3,272 $4,650
748 13 Superior Industries Intl (SUP) Auto Parts 577,644 Sold Some -150,253 $22.08 $-3,317 $12,754
1769 9 Spartan Motors Inc (SPAR) Commercial Vehicles 1,687,190 Sold Some -863,054 $3.95 $-3,409 $6,664
978 11 Landec Corp (LNDC) Basic And Diversified Chemicals 513,169 Sold Some -342,945 $10.50 $-3,600 $5,388
940 12 Hallmark Finl Services Inc (HALL) P And C Insurance 840,517 Sold Some -314,088 $11.50 $-3,612 $9,665
69 1 Flir Systems Inc (FLIR) Other Hardware 699,092 Sold Some -112,063 $32.95 $-3,692 $23,035
957 2 Scansource Inc (SCSC) Other Wholesalers 138,200 Sold Some -93,170 $40.38 $-3,762 $5,580
1926 8 Plexus Corp (PLXS) Emsodm 112,060 Sold Some -95,395 $39.52 $-3,770 $4,428
2898 48 Hartford Financial Svcs Grp (HIG) P And C Insurance 45,719 Sold Some -88,075 $46.08 $-4,058 $2,106
2414 24 Ca Inc (CA) Infrastructure Software 100,028 Sold Some -132,238 $30.79 $-4,071 $3,079
2356 53 Synaptics Inc (SYNA) Semiconductor Devices 55,376 Sold Some -51,303 $79.73 $-4,090 $4,415
1297 15 Kmg Chemicals Inc (KMG) Basic And Diversified Chemicals 406,894 Sold Some -189,558 $23.07 $-4,373 $9,387
735 49 Cedar Realty Trust Inc (CDR) Reit 917,100 Sold Some -653,153 $7.23 $-4,722 $6,630
2359 54 Vonage Holdings Corp (VG) Telecom Carriers 1,304,030 Sold Some -1,046,567 $4.57 $-4,782 $5,959
2837 2 Carnival Corp (CCL) Cruise Lines 210,158 Sold Some -93,158 $52.77 $-4,915 $11,090
2149 15 Knoll Inc (KNL) Home And Office Furnishings 281,890 Sold Some -227,153 $21.65 $-4,917 $6,102
2169 42 Stillwater Mining Co (SWC) Precious Metal Mining 541,920 Sold Some -474,215 $10.65 $-5,050 $5,771
662 7 Mercury Systems Inc (MRCY) Computer Hardware And Storage 435,077 Sold Some -278,346 $20.29 $-5,650 $8,832
594 2 Advanced Energy Industries (AEIS) Renewable Energy Equipment 162,086 Sold Some -179,171 $34.79 $-6,233 $5,638
415 33 Mack-Cali Realty Corp (CLI) Reit 511,923 Sold Some -270,840 $23.50 $-6,364 $12,030
2930 31 Exelon Corp (EXC) Integrated Utilities 263,203 Sold Some -189,410 $35.86 $-6,792 $9,438
2086 46 Rudolph Technologies Inc (RTEC) Semiconductor Devices 502,883 Sold Some -519,866 $13.66 $-7,101 $6,869
2013 2 Acco Brands Corp (ACCO) Office Supplies 787,025 Sold Some -798,803 $8.98 $-7,173 $7,067
1790 13 Hooker Furniture Corp (HOFT) Home And Office Furnishings 228,007 Sold Some -238,618 $32.84 $-7,838 $7,490
2164 5 Ennis Inc (EBF) Printing Services 612,137 Sold Some -414,587 $19.54 $-8,105 $11,967
2533 27 Myriad Genetics Inc (MYGN) Life Science Equipment 146,611 Sold Some -219,694 $37.43 $-8,223 $5,487
240 1 Granite Construction Inc (GVA) Engineering Services 138,905 Sold Some -222,136 $47.79 $-10,618 $6,639