Activist Investor 13D, 13G Filings - Manager: Mario Gabelli


This page shows a list of all the recent 13D/G filings made by Gamco Investors, Inc. Et Al. Schedule 13D is commonly referred to as a “beneficial ownership report.” The term "beneficial owner" is defined under SEC rules. It includes any person who directly or indirectly shares voting power or investment power (the power to sell the security).

When a person or group of persons acquires beneficial ownership of more than 5% of a voting class of a company’s equity securities, they are required to file a Schedule 13D within ten days after the purchase. Click an asterisk (*) to see the full transaction history.

DateForm Target Prev
Shares
Current
Shares
Change
(Percent)
Ownership
(Percent)
Change
(Percent)
2017‑09‑18 SC 13D/A SNAK / Inventure Foods, Inc. * 1,247,539 1,020,000 -18.24 5.16 -18.61
2017‑09‑15 SC 13D/A GUID / Guidance Software, Inc. * 577,112 0 -100.00 0.0 -100.00
2017‑09‑14 SC 13D/A GGZ / Gabelli Global Small and Mid Cap Value Trust (The) * 1,655,732 1,665,141 0.57 21.42 5.62
2017‑09‑07 SC 13D GUID / Guidance Software, Inc. * 577,112 1.73
2017‑09‑05 SC 13D/A SEV / Sevcon, Inc. * 1,033,449 1,033,949 0.05 15.67 -0.25
2017‑09‑05 SC 13D/A NVDQ / Novadaq Technologies, Inc. * 2,514,579 0 -100.00 0.0 -100.00
2017‑08‑30 SC 13D/A GSOL / Global Sources Ltd. * 469,642 0 -100.00 0.0 -100.00
2017‑08‑29 SC 13D/A TWIN / Twin Disc, Incorporated * 1,203,151 1,348,351 12.07 11.71 12.16
2017‑08‑29 SC 13D/A BATRA / Liberty Media Corporation * 484,888 578,503 19.31 5.65 19.20
2017‑08‑18 SC 13D/A SALM / Salem Media Group, Inc. * 999,813 4.86
2017‑08‑17 SC 13D/A SEV / Sevcon, Inc. * 1,045,149 1,033,449 -1.12 15.71 -1.19
2017‑08‑17 SC 13D/A MTRN / Materion Corp. * 989,200 777,200 -21.43 3.88 -19.83
2017‑08‑17 SC 13D/A CMT / Core Molding Technologies, Inc. * 325,000 310,900 -4.34 3.96 -6.60
2017‑08‑16 SC 13D NVDQ / Novadaq Technologies, Inc. * 2,514,579 4.38
2017‑08‑16 SC 13D/A SSP / Scripps Company * 7,978,291 8,147,091 2.12 11.6 3.20
2017‑08‑16 SC 13D/A CBB / Cincinnati Bell, Inc. * 2,659,698 6.3
2017‑08‑16 SC 13D/A NFG / National Fuel Gas Co. * 3,367,400 3,359,299 -0.24 3.93 -0.51
2017‑08‑14 SC 13D/A EDGW / Edgewater Technology, Inc. * 873,904 834,904 -4.46 5.99 -11.65
2017‑08‑11 SC 13D/A BIOS / BioScrip, Inc. * 10,758,742 10,228,742 -4.93 8.02 -9.79
2017‑08‑09 SC 13D/A TISI / Team, Inc. * 1,561,118 1,799,980 15.30 6.01 14.69
2017‑08‑08 SC 13D/A KATY / Katy Industries, Inc. * 610,000 840,000 37.70 10.56 37.68
2017‑08‑08 SC 13D/A AFI / Armstrong Flooring, Inc. * 1,198,545 1,439,090 20.07 5.31 22.63
2017‑08‑08 SC 13D/A NATH / Nathan's Famous, Inc. * 224,924 235,307 4.62 5.63 4.65
2017‑08‑07 SC 13D/A LEN.B / Lennar Corp. * 1,869,887 1,870,485 0.03 5.98 0.17
2017‑08‑02 SC 13D/A LEN.B / Lennar Corp. * 1,882,491 1,869,887 -0.67 5.97 -0.67
2017‑08‑02 SC 13D/A KAMN / Kaman Corp. * 3,751,372 3,590,841 -4.28 12.87 -7.28
2017‑07‑31 SC 13D/A INNL / Innocoll Holdings plc * 1,169,900 0 -100.00 0.0 -100.00
2017‑07‑31 SC 13D/A TISI / Team, Inc. * 1,349,830 1,561,118 15.65 5.24 15.67
2017‑07‑28 SC 13D TISI / Team, Inc. * 1,349,830 4.53
2017‑07‑18 SC 13D/A SEV / Sevcon, Inc. * 1,045,149 15.9
2017‑07‑14 SC 13D BATRA / Liberty Media Corporation * 484,888 4.74
2017‑07‑14 SC 13D/A DGAS / Delta Natural Gas Co., Inc. * 316,146 4.44
2017‑07‑13 SC 13D/A BIOS / BioScrip, Inc. * 12,335,314 10,758,742 -12.78 8.89 -12.84
2017‑07‑11 SC 13D/A FOE / Ferro Corp. * 6,467,822 5,803,060 -10.28 6.94 -10.57
2017‑07‑10 SC 13D/A HRI / Herc Holdings Inc. * 3,395,069 3,531,862 4.03 12.47 4.00
2017‑06‑30 SC 13D/A RLJE / RLJ Entertainment, Inc. * 324,100 350,349 8.10 2.67 -56.87
2017‑06‑30 SC 13D/A TWIN / Twin Disc, Incorporated * 1,108,526 1,203,151 8.54 10.44 6.86
2017‑06‑29 SC 13D/A CST / CST Brands, Inc. * 2,571,237 0 -100.00 0.0 -100.00
2017‑06‑23 SC 13D BATRK / Liberty Media Corporation * 1,218,319 3.19
2017‑06‑23 SC 13D/A MOCO / MOCON, Inc. * 424,587 0 -100.00 0.0 -100.00
2017‑06‑22 SC 13D/A ASCMB / Ascent Capital Group, Inc. * 769,345 716,743 -6.84 5.99 -6.99
2017‑06‑22 SC 13D/A CIR / CIRCOR International, Inc. * 1,533,191 1,495,208 -2.48 9.07 -2.47
2017‑06‑21 SC 13D NUTR / Nutraceutical International Corp. * 247,676 2.68
2017‑06‑15 SC 13D/A MOCO / MOCON, Inc. * 424,587 424,587 0.00 7.24 -0.14
2017‑06‑12 SC 13D/A NATH / Nathan's Famous, Inc. * 157,000 224,924 43.26 5.38 54.15
2017‑06‑12 SC 13D/A KATY / Katy Industries, Inc. * 651,850 610,000 -6.42 7.67 -6.46
2017‑06‑06 SC 13D/A CVCO / Cavco Industries, Inc. * 353,505 3.93
2017‑06‑01 SC 13D GENC / Gencor Industries, Inc. * 559,354 4.61
2017‑05‑31 SC 13D/A JNS / Janus Capital Group, Inc. * 0 0.0
2017‑05‑30 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 518,000 384,000 -25.87 2.04 -26.62
2017‑05‑24 SC 13D/A HTZ / Hertz Global Holdings, Inc. * 3,637,403 4,508,403 23.95 5.39 23.91
2017‑05‑24 SC 13D/A TG / Tredegar Corp. * 4,685,895 4,841,384 3.32 14.66 2.23
2017‑05‑19 SC 13D/A HRI / Herc Holdings Inc. * 3,058,149 3,395,069 11.02 11.99 11.02
2017‑05‑17 SC 13D MWA / Mueller Water Products, Inc. * 6,166,481 3.87
2017‑05‑11 SC 13D/A AFI / Armstrong Flooring, Inc. * 934,399 1,198,545 28.27 4.33 29.25
2017‑05‑10 SC 13D/A SCX / Starrett (L.S.) Co. (The) * 348,498 5.53
2017‑05‑05 SC 13D/A HTZ / Hertz Global Holdings, Inc. * 2,977,703 3,637,403 22.15 4.35 21.17
2017‑04‑28 SC 13D/A EPC / Edgewell Personal Care Company * 1,711,078 2,026,955 18.46 3.53 22.57
2017‑04‑28 SC 13D/A BH / Biglari Holdings Inc. * 76,747 74,788 -2.55 3.62 -2.69
2017‑04‑27 SC 13D/A BBGI / Beasley Broadcast Group, Inc. * 1,446,015 1,339,464 -7.37 11.0 -7.87
2017‑04‑25 SC 13D/A MOCO / MOCON, Inc. * 424,587 424,587 0.00 7.25 0.00
2017‑04‑24 SC 13D/A CHMT / Chemtura Corp. * 4,033,950 0 -100.00 0.0 -100.00
2017‑04‑20 SC 13D INNL / Innocoll Holdings plc * 1,169,900 3.89
2017‑04‑19 SC 13D/A MOCO / MOCON, Inc. * 424,587 424,587 0.00 7.25 -0.82
2017‑04‑17 SC 13D/A LORL / Loral Space & Communications, Inc. * 505,615 611,566 20.95 2.85 20.76
2017‑04‑13 SC 13D/A WISH / Wright Investors' Service Holdings , Inc. * 1,450,300 1,247,000 -14.02 6.52 -13.87
2017‑04‑10 SC 13D/A ODC / Oil-Dri Corp. of America * 514,994 570,334 10.75 11.16 10.06
2017‑04‑07 SC 13D/A EML / Eastern Company * 450,187 492,205 9.33 7.87 9.31
2017‑04‑07 SC 13D/A CHMT / Chemtura Corp. * 4,726,356 4,033,950 -14.65 6.38 -14.93
2017‑04‑03 SC 13D/A KATY / Katy Industries, Inc. * 674,280 651,850 -3.33 8.2 -3.30
2017‑03‑29 SC 13D/A LEN.B / Lennar Corp. * 1,257,741 1,882,491 49.67 6.01 49.50
2017‑03‑28 SC 13D/A LEN.B / Lennar Corp. * 1,988,893 1,257,741 -36.76 4.02 -36.69
2017‑03‑27 SC 13D GSOL / Global Sources Ltd. * 452,357 469,642 3.82 1.96 2.08
2017‑03‑17 SC 13D AFI / Armstrong Flooring, Inc. * 934,399 3.35
2017‑03‑17 SC 13D/A INAP / Internap Corporation * 10,046,802 9,577,413 -4.67 11.65 -4.90
2017‑03‑16 SC 13D/A RLJE / RLJ Entertainment, Inc. * 313,400 324,100 3.41 6.19 3.51
2017‑03‑15 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 627,500 518,000 -17.45 2.78 -17.75
2017‑03‑08 SC 13D/A BIOS / BioScrip, Inc. * 13,498,334 12,335,314 -8.62 10.2 -11.07
2017‑03‑07 SC 13D/A CHE / Chemed Corp. * 607,391 3.72
2017‑03‑07 SC 13D/A AJRD / Aerojet Rocketdyne Holdings, Inc. * 4,755,538 4,702,040 -1.12 6.29 -7.50
2017‑03‑07 SC 13D/A NAV / Navistar International Corp. * 6,548,348 6.67
2017‑03‑07 SC 13D/A RUSHA / Rush Enterprises, Inc. * 613,599 6.77
2017‑03‑02 SC 13D/A CLCD / CoLucid Pharmaceuticals, Inc. * 713,175 0 -100.00 0.0 -100.00
2017‑03‑02 SC 13D/A CLC / CLARCOR Inc. * 1,260,909 0 -100.00 0.0 -100.00
2017‑02‑28 SC 13D/A GRIF / Griffin Industrial Realty, Inc. * 1,062,495 995,601 -6.30 19.91 -3.44
2017‑02‑27 SC 13D/A HTZ / Hertz Global Holdings, Inc. * 3,058,149 2,977,703 -2.63 3.59 -66.76
2017‑02‑24 SC 13D/A BIOS / BioScrip, Inc. * 14,712,910 13,498,334 -8.26 11.47 -8.24
2017‑02‑23 SC 13D/A INAP / Internap Corporation * 7,967,035 10,046,802 26.10 12.25 -10.45
2017‑02‑23 SC 13D/A VASC / Vascular Solutions, Inc. * 598,717 0 -100.00 0.0 -100.00
2017‑02‑21 SC 13D/A CPPL / Columbia Pipeline Partners LP * 3,922,695 0 -100.00 0.0 -100.00
2017‑02‑17 SC 13D/A RLJE / RLJ Entertainment, Inc. * 261,424 313,400 19.88 5.98 19.84
2017‑02‑15 SC 13D/A BCO / Brink's Company (The) * 1,941,427 1,528,421 -21.27 3.06 -21.34
2017‑02‑15 SC 13D/A CPPL / Columbia Pipeline Partners LP * 3,708,675 3,922,695 5.77 7.29 5.81
2017‑02‑15 SC 13D/A SXCL / Steel Excel Inc. * 0 0.0
2017‑02‑14 SC 13D/A MOD / Modine Manufacturing Co. * 1,683,791 3.36
2017‑02‑10 SC 13D/A CPPL / Columbia Pipeline Partners LP * 3,239,868 3,708,675 14.47 6.89 14.45
2017‑02‑08 SC 13D/A CPPL / Columbia Pipeline Partners LP * 2,593,962 3,239,868 24.90 6.02 24.90
2017‑02‑07 SC 13D/A SNAK / Inventure Foods, Inc. * 1,101,140 1,247,539 13.30 6.34 13.21
2017‑02‑06 SC 13D RLJE / RLJ Entertainment, Inc. * 261,424 4.99
2017‑02‑02 SC 13D CLCD / CoLucid Pharmaceuticals, Inc. * 713,175 3.7
2017‑02‑02 SC 13D CLC / CLARCOR Inc. * 1,260,909 2.58
2017‑01‑31 SC 13D VASC / Vascular Solutions, Inc. * 598,717 3.41
2017‑01‑30 SC 13D/A SSP / Scripps Company * 7,490,745 7,978,291 6.51 11.24 8.18
2017‑01‑30 SC 13D/A EDGW / Edgewater Technology, Inc. * 873,904 873,904 0.00 6.78 0.00
2017‑01‑30 SC 13D/A SEV / Sevcon, Inc. * 1,041,274
2017‑01‑25 SC 13D/A MOCO / MOCON, Inc. * 424,587 7.31
2017‑01‑24 SC 13D/A KATY / Katy Industries, Inc. * 674,280 674,280 0.00 8.48 0.00
2017‑01‑24 SC 13D/A SUP / Superior Industries International, Inc. * 1,208,075 1,208,075 0.00 4.75 0.00
2017‑01‑23 SC 13D/A KATY / Katy Industries, Inc. * 674,280 8.48
2017‑01‑23 SC 13D/A SUP / Superior Industries International, Inc. * 1,384,452 1,208,075 -12.74 4.75 -12.84
2017‑01‑23 SC 13D/A BELFA / Bel Fuse Inc. *
2017‑01‑20 SC 13D/A BELFA / Bel Fuse Inc. * 268,868
2017‑01‑19 SC 13D/A GFF / Griffon Corp. * 5,383,548 5,370,287 -0.25 11.47 -2.38
2017‑01‑19 SC 13D/A MEG / Media General, Inc. * 4,389,336 0 -100.00 0.0 -100.00
2017‑01‑19 SC 13D/A FDML / Federal-Mogul Holdings Corp * 7,991,669
2017‑01‑17 SC 13D/A SNAK / Inventure Foods, Inc. * 1,101,140 1,101,140 0.00 5.6 0.00
2017‑01‑13 SC 13D/A SNAK / Inventure Foods, Inc. * 938,347 1,101,140 17.35 5.6 17.40
2017‑01‑10 SC 13D/A GFF / Griffon Corp. * 5,383,548 11.75
2017‑01‑10 SC 13D/A EDGW / Edgewater Technology, Inc. * 897,663 873,904 -2.65 6.78 -10.20
2017‑01‑10 SC 13D/A CHDN / Churchill Downs Inc. * 528,718 375,578 -28.96 2.26 -28.93
2017‑01‑09 SC 13D/A HRI / Herc Holdings Inc. * 2,859,160 3,058,149 6.96 10.8 6.93
2017‑01‑09 SC 13D/A HTZ / Hertz Global Holdings, Inc. * 2,345,900 3,058,149 30.36 10.8 281.63
2017‑01‑05 SC 13D/A CW / Curtiss-Wright Corp. * 1,449,897 1,133,947 -21.79 2.56 -21.95
2017‑01‑04 SC 13D/A ODC / Oil-Dri Corp. of America * 550,554 514,994 -6.46 10.14 -6.97
2017‑01‑04 SC 13D CPPL / Columbia Pipeline Partners LP * 2,593,962 4.82
2017‑01‑04 SC 13D HTZ / Hertz Global Holdings, Inc. * 2,859,160 2,345,900 -17.95 2.83 -71.98
2016‑12‑22 SC 13D/A GGO / The Gabelli Go Anywhere Trust * 1,052,598 680,403 -35.36 42.25 -35.37
2016‑12‑22 SC 13D/A GDL^B / The GDL Fund * 1,410,915 450,000 -68.11 17.15 130.20
2016‑12‑22 SC 13D/A SXCL / Steel Excel Inc. *
2016‑12‑16 SC 13D/A RHP / Ryman Hospitality Properties, Inc. * 4,224,521 8.28
2016‑12‑15 SC 13D/A CHMT / Chemtura Corp. * 4,726,356 7.5
2016‑12‑14 SC 13D/A ASTE / Astec Industries, Inc. * 1,349,480 1,095,525 -18.82 4.75 -19.08
2016‑12‑13 SC 13D/A FOE / Ferro Corp. * 6,467,822 7.76
2016‑12‑12 SC 13D/A SXCL / Steel Excel Inc. * 643,858
2016‑12‑06 SC 13D/A MCS / Marcus Corporation (THE) * 1,271,871 1,094,000 -13.98 5.78 -13.86
2016‑12‑05 SC 13D/A MHGC / Morgans Hotel Group Co. * 0 0.0
2016‑12‑05 SC 13D/A BIOS / BioScrip, Inc. * 13,785,843 14,712,910 6.72 12.5 6.75
2016‑12‑01 SC 13D/A JCS / Communications Systems, Inc. * 599,077 699,991 16.84 7.9 16.86
2016‑12‑01 SC 13D/A ASCMB / Ascent Capital Group, Inc. * 868,272 769,345 -11.39 6.44 -11.42
2016‑11‑29 SC 13D/A CW / Curtiss-Wright Corp. * 1,766,747 1,449,897 -17.93 3.28 -17.17
2016‑11‑28 SC 13D/A GI / EndoChoice Holdings Inc. * 867,520 0 -100.00 0.0 -100.00
2016‑11‑28 SC 13D/A NFG / National Fuel Gas Co. * 3,369,400 3,367,400 -0.06 3.95 -0.25
2016‑11‑25 SC 13D/A INAP / Internap Corporation * 7,563,511 7,967,035 5.34 13.68 5.31
2016‑11‑22 SC 13D/A DBD / Diebold, Inc. * 3,821,534 3,867,697 1.21 5.15 -12.27
2016‑11‑21 SC 13D/A MPX / Marine Products Corp. * 2,259,555 1,211,882 -46.37 3.47 -41.19
2016‑11‑17 SC 13D/A FLWS / 1-800-Flowers.com, Inc. * 640,000 1.81
2016‑11‑17 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 629,000 627,500 -0.24 3.38 1.81
2016‑11‑15 SC 13D/A CHDN / Churchill Downs Inc. * 528,718 3.18
2016‑11‑15 SC 13D/A BBGI / Beasley Broadcast Group, Inc. * 1,473,428 1,446,015 -1.86 11.94 -46.65
2016‑11‑14 SC 13D/A FLTX / FleetMatics Group Ltd. * 2,039,031 0 -100.00 0.0 -100.00
2016‑11‑10 SC 13D/A EML / Eastern Company * 389,153 450,187 15.68 7.2 15.57
2016‑11‑10 SC 13D/A GGO / The Gabelli Go Anywhere Trust * 1,052,598 1,052,598 0.00 65.37 0.00
2016‑11‑10 SC 13D/A BCO / Brink's Company (The) * 2,311,104 1,941,427 -16.00 3.89 -17.58
2016‑11‑10 SC 13D/A INAP / Internap Corporation * 7,378,332 7,563,511 2.51 12.99 -0.76
2016‑11‑10 SC 13D/A NFG / National Fuel Gas Co. * 3,492,500 3,369,400 -3.52 3.96 -3.88
2016‑11‑07 SC 13D/A SNAK / Inventure Foods, Inc. * 785,000 938,347 19.53 4.77 19.25
2016‑11‑03 SC 13D/A GGO / The Gabelli Go Anywhere Trust * 208,601 1,052,598 404.60 65.37 67.66
2016‑11‑03 SC 13D/A FLTX / FleetMatics Group Ltd. * 1,695,496 2,039,031 20.26 5.2 20.37
2016‑11‑03 SC 13D/A SGI / Silicon Graphics International Corp. * 1,660,700 0 -100.00 0.0 -100.00
2016‑11‑03 SC 13D/A PWX / Providence & Worcester Railroad Co. * 209,014 0 -100.00 0.0 -100.00
2016‑10‑27 SC 13D/A MLI / Mueller Industries, Inc. * 3,789,629 4,144,650 9.37 7.25 9.02
2016‑10‑25 SC 13D/A HRI / Herc Holdings Inc. * 2,659,853 2,859,160 7.49 10.1 7.45
2016‑10‑25 SC 13D/A HTZ / Hertz Global Holdings, Inc. * 2,659,853 2,859,160 7.49 10.1 7.45
2016‑10‑20 SC 13D GI / EndoChoice Holdings Inc. * 867,520 3.42
2016‑10‑17 SC 13D/A BIOS / BioScrip, Inc. * 14,507,800 13,785,843 -4.98 11.71 -8.01
2016‑10‑13 SC 13D/A GDL^B / The GDL Fund * 488,400 1,410,915 188.89 7.45 -59.97
2016‑10‑11 SC 13D/A HRI / Herc Holdings Inc. * 2,363,827 2,659,853 12.52 9.4 12.57
2016‑10‑11 SC 13D/A HTZ / Hertz Global Holdings, Inc. * 2,659,853 9.4
2016‑10‑04 SC 13D/A MEG / Media General, Inc. * 4,389,336 3.39
2016‑09‑29 SC 13D/A FLTX / FleetMatics Group Ltd. * 1,257,216 1,695,496 34.86 4.32 34.58
2016‑09‑23 SC 13D/A GDL^B / The GDL Fund * 320,000 488,400 52.62 18.61 52.54
2016‑09‑23 SC 13D/A HRI / Herc Holdings Inc. * 2,273,575 2,363,827 3.97 8.35 3.99
2016‑09‑23 SC 13D/A ASCMB / Ascent Capital Group, Inc. * 961,445 868,272 -9.69 7.27 -6.68
2016‑09‑21 SC 13D/A SGI / Silicon Graphics International Corp. * 1,324,811 1,660,700 25.35 4.55 25.34
2016‑09‑20 SC 13D/A NULM / New Ulm Telecom, Inc. * 167,600 169,448 1.10 3.3 0.30
2016‑09‑15 SC 13D GGO / The Gabelli Go Anywhere Trust * 208,601 38.99
2016‑09‑14 SC 13D/A HRI / Herc Holdings Inc. * 2,065,602 2,273,575 10.07 8.03 10.00
2016‑09‑12 SC 13D/A AP / Ampco-Pittsburgh Corp. * 1,464,455 1,570,784 7.26 12.8 6.76
2016‑09‑12 SC 13D/A SGI / Silicon Graphics International Corp. * 1,066,600 1,324,811 24.21 3.63 23.47
2016‑09‑08 SC 13D FLTX / FleetMatics Group Ltd. * 1,257,216 3.21
2016‑09‑08 SC 13D/A JASN / Jason Industries, Inc. * 1,532,255 525,944 -65.68 2.35 -65.74
2016‑09‑01 SC 13D/A HRI / Herc Holdings Inc. * 1,816,971 2,065,602 13.68 7.3 13.71
2016‑08‑29 SC 13D/A CST / CST Brands, Inc. * 2,040,588 2,571,237 26.00 3.4 25.93
2016‑08‑26 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 678,000 629,000 -7.23 3.32 -10.99
2016‑08‑25 SC 13D/A HRI / Herc Holdings Inc. * 1,519,868 1,816,971 19.55 6.42 19.55
2016‑08‑25 SC 13D/A AJRD / Aerojet Rocketdyne Holdings, Inc. * 5,114,418 4,755,538 -7.02 6.8 -15.84
2016‑08‑23 SC 13D/A JCS / Communications Systems, Inc. * 587,577 599,077 1.96 6.76 1.65
2016‑08‑22 SC 13D SGI / Silicon Graphics International Corp. * 1,066,600 2.94
2016‑08‑15 SC 13D/A HRI / Herc Holdings Inc. * 1,261,901 1,519,868 20.44 5.37 20.40
2016‑08‑15 SC 13D/A TWIN / Twin Disc, Incorporated * 1,011,208 1,108,526 9.62 9.77 9.65
2016‑08‑10 SC 13D HRI / Herc Holdings Inc. * 1,261,901 4.46
2016‑08‑08 SC 13D/A SUP / Superior Industries International, Inc. * 1,537,952 1,384,452 -9.98 5.45 -9.92
2016‑07‑28 SC 13D/A CPHC / Canterbury Park Holding Corp. * 503,780 546,636 8.51 12.78 7.12
2016‑07‑18 SC 13D GDL^B / The GDL Fund * 1,323,989 320,000 -75.83 12.2 85.13
2016‑07‑14 SC 13D/A SEV / Sevcon, Inc. * 1,019,511 1,041,274 2.13 16.72 -17.39
2016‑07‑06 SC 13D LORL / Loral Space & Communications, Inc. * 505,615 2.36
2016‑07‑01 SC 13D/A SJW / SJW Corp. * 609,901 460,487 -24.50 2.25 -24.75
2016‑06‑28 SC 13D/A CNIG / Corning Natural Gas Holding Corporation * 407,422 16.01
2016‑06‑24 SC 13D/A JASN / Jason Industries, Inc. * 1,532,255 6.86
2016‑06‑23 SC 13D/A GYRO / Gyrodyne, LLC * 77,589 82,147 5.87 5.54 5.93
2016‑06‑22 SC 13D/A BIOS / BioScrip, Inc. * 1,531,031 14,507,800 847.58 12.73 131.45
2016‑06‑22 SC 13D/A SUP / Superior Industries International, Inc. * 1,537,952 6.05
2016‑06‑16 SC 13D/A SSP / Scripps Company * 6,795,278 7,490,745 10.23 10.39 10.18
2016‑06‑07 SC 13D/A AFOP / Alliance Fiber Optic Products, Inc. * 1,512,432 104,523 -93.09 0.66 -93.11
2016‑06‑03 SC 13D/A JCS / Communications Systems, Inc. * 447,875 587,577 31.19 6.65 30.14
2016‑06‑02 SC 13D CST / CST Brands, Inc. * 2,040,588 2.7
2016‑05‑26 SC 13D/A ASCMB / Ascent Capital Group, Inc. * 980,628 961,445 -1.96 7.79 -2.50
2016‑05‑25 SC 13D EPC / Edgewell Personal Care Company * 1,711,078 2.88
2016‑05‑25 SC 13D ENR / Energizer Holdings, Inc. * 1,711,078 2.88
2016‑05‑23 SC 13D/A AFOP / Alliance Fiber Optic Products, Inc. * 1,405,636 1,512,432 7.60 9.58 7.64
2016‑05‑19 SC 13D/A SSP / Scripps Company * 6,284,292 6,795,278 8.13 9.43 8.02
2016‑05‑19 SC 13D/A SLI / SL Industries, Inc. * 315,508 309,442 -1.92 7.79 0.26
2016‑05‑17 SC 13D/A BIOS / BioScrip, Inc. * 0 1,531,031 5.5
2016‑05‑17 SC 13D/A WTS / Watts Water Technologies, Inc. * 1,531,031 5.5
2016‑05‑16 SC 13D/A SEV / Sevcon, Inc. * 988,690 1,019,511 3.12 20.24 3.32
2016‑05‑16 SC 13D/A AFOP / Alliance Fiber Optic Products, Inc. * 1,245,236 1,405,636 12.88 8.9 12.80
2016‑05‑10 SC 13D/A POWR / PowerSecure International, Inc * 1,654,361 0 -100.00 0.0 -100.00
2016‑05‑10 SC 13D/A AFOP / Alliance Fiber Optic Products, Inc. * 1,079,262 1,245,236 15.38 7.89 15.35
2016‑05‑05 SC 13D/A EE / El Paso Electric Co. * 1,888,000 4.66
2016‑05‑05 SC 13D AFOP / Alliance Fiber Optic Products, Inc. * 1,079,262 6.84
2016‑05‑05 SC 13D/A INAP / Internap Corporation * 7,263,789 7,378,332 1.58 13.09 0.69
2016‑05‑02 SC 13D/A BCO / Brink's Company (The) * 2,699,584 2,311,104 -14.39 4.72 -14.95
2016‑04‑25 SC 13D/A CVC / Cablevision Systems Corp. * 7,936,047 6,688,317 -15.72 3.01 -15.69
2016‑04‑25 SC 13D/A SUP / Superior Industries International, Inc. *
2016‑04‑14 SC 13D/A SSP / Scripps Company * 5,664,210 6,284,292 10.95 8.73 11.49
2016‑04‑11 SC 13D/A JMG / Journal Media Group, Inc. * 2,633,268 0 -100.00 0.0 -100.00
2016‑04‑07 SC 13D/A EML / Eastern Company * 342,102 389,153 13.75 6.23 13.69
2016‑04‑07 SC 13D/A SUP / Superior Industries International, Inc. * 1,774,402
2016‑04‑07 SC 13D/A PKE / Park Electrochemical Corp. * 641,000 761,500 18.80 3.76 19.75
2016‑04‑04 SC 13D/A EDGW / Edgewater Technology, Inc. * 897,661 897,663 0.00 7.55 -0.79
2016‑04‑04 SC 13D SNAK / Inventure Foods, Inc. * 785,000 4.0
2016‑04‑04 SC 13D/A POWR / PowerSecure International, Inc * 874,651 1,654,361 89.15 7.35 88.95
2016‑04‑04 SC 13D/A JMG / Journal Media Group, Inc. * 2,633,268 10.79
2016‑03‑31 SC 13D/A POWR / PowerSecure International, Inc * 605,500 874,651 44.45 3.89 44.61
2016‑03‑30 SC 13D/A SUP / Superior Industries International, Inc. * 1,774,902 1,774,402 -0.03 7.03 0.00
2016‑03‑29 SC 13D/A WISH / Wright Investors' Service Holdings , Inc. * 1,450,300 7.57
2016‑03‑29 SC 13D/A CW / Curtiss-Wright Corp. * 1,766,747 3.96
2016‑03‑28 SC 13D/A SUP / Superior Industries International, Inc. * 1,779,252 1,774,902 -0.24 7.03 0.57
2016‑03‑24 SC 13D/A JCS / Communications Systems, Inc. * 413,500 447,875 8.31 5.11 8.03
2016‑03‑23 SC 13D/A MYE / Myers Industries, Inc. * 4,778,757 16.17
2016‑03‑22 SC 13D/A AP / Ampco-Pittsburgh Corp. * 1,480,328 1,464,455 -1.07 11.99 -15.56
2016‑03‑22 SC 13D/A SWX / Southwest Gas Corp. * 1,719,700 1,484,717 -13.66 3.13 -14.25
2016‑03‑17 SC 13D/A SUP / Superior Industries International, Inc. * 1,779,252 6.99
2016‑03‑17 SC 13D POWR / PowerSecure International, Inc * 605,500 2.69
2016‑03‑14 SC 13D/A INAP / Internap Corporation * 7,054,833 7,263,789 2.96 13.0 2.28
2016‑03‑11 SC 13D/A KAMN / Kaman Corp. * 3,751,372 13.88
2016‑03‑08 SC 13D/A CVC / Cablevision Systems Corp. * 8,927,789 7,936,047 -11.11 3.57 -10.97
2016‑03‑03 SC 13D/A BIOS / BioScrip, Inc. * 0 0 0.0
2016‑03‑03 SC 13D/A TDS / Telephone and Data Systems, Inc. * 4,487,046 3,688,489 -17.80 3.63 -18.43
2016‑03‑03 SC 13D CWGL / Crimson Wine Group Ltd. * 510,000 2.09
2016‑03‑03 SC 13D/A SJW / SJW Corp. * 609,901 2.99
2016‑03‑03 SC 13D/A FRM / Furmanite Corporation * 0.0
2016‑03‑03 SC 13D/A DBD / Diebold, Inc. * 3,821,534 5.87
2016‑02‑29 SC 13D/A MCS / Marcus Corporation (THE) * 1,271,871 6.71
2016‑02‑29 SC 13D/A USM / United States Cellular Corp. * 3,038,187 5.92
2016‑02‑29 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 688,900 678,000 -1.58 3.73 -2.61
2016‑02‑29 SC 13D/A SUP / Superior Industries International, Inc. *
2016‑02‑29 SC 13D/A UZB / United States Cellular Corp., 7.25% Senior Notes due 12/1/2063 * 3,038,187 5.92
2016‑02‑29 SC 13D/A NFG / National Fuel Gas Co. * 3,492,500 4.12
2016‑02‑25 SC 13D/A EZCH / EZchip Semiconductor Limited * 1,020,514 0 -100.00 0.0 -100.00
2016‑02‑23 SC 13D/A SEV / Sevcon, Inc. * 988,690 19.59
2016‑02‑23 SC 13D/A SXCL / Steel Excel Inc. * 643,858 5.67
2016‑02‑19 SC 13D/A MYE / Myers Industries, Inc. * 4,792,692
2016‑02‑19 SC 13D/A JMG / Journal Media Group, Inc. * 1,879,412
2016‑02‑18 SC 13D MLNK / ModusLink Global Solutions, Inc. * 1,680,000 3.21
2016‑02‑16 SC 13D/A EML / Eastern Company * 339,500 342,102 0.77 5.48 0.74
2016‑02‑11 SC 13D/A OCAT / Ocata Therapeutics, Inc. * 1,697,800 0 -100.00 0.0 -100.00
2016‑02‑09 SC 13D/A JMG / Journal Media Group, Inc. * 1,643,219 1,879,412 14.37 7.7 14.41
2016‑02‑08 SC 13D/A TWIN / Twin Disc, Incorporated * 1,011,208 8.91
2016‑02‑04 SC 13D/A PBY / Pep Boys-Manny, Moe & Jack (The) * 6,545,811 0 -100.00 0.0 -100.00
2016‑02‑04 SC 13D/A SUP / Superior Industries International, Inc. * 1,886,051
2016‑01‑25 SC 13D/A PBY / Pep Boys-Manny, Moe & Jack (The) * 6,545,811 12.07
2016‑01‑25 SC 13D/A JMG / Journal Media Group, Inc. * 1,477,827 1,643,219 11.19 6.73 11.24
2016‑01‑25 SC 13D/A WPP / Wausau Paper Corp. * 1,458,711 0 -100.00 0.0 -100.00
2016‑01‑21 SC 13D GYRO / Gyrodyne, LLC * 77,589 5.23
2016‑01‑19 SC 13D/A PWX / Providence & Worcester Railroad Co. * 209,014 4.3
2016‑01‑19 SC 13D/A EZCH / EZchip Semiconductor Limited * 1,132,320 1,020,514 -9.87 3.41 -9.79
2016‑01‑19 SC 13D/A BDBD / Boulder Brands, Inc. * 2,781,457 0 -100.00 0.0 -100.00
2016‑01‑14 SC 13D/A JMG / Journal Media Group, Inc. * 1,477,827 6.05
2016‑01‑12 SC 13D/A CIR / CIRCOR International, Inc. * 1,533,191 9.3
2016‑01‑08 SC 13D/A JMG / Journal Media Group, Inc. * 1,302,131
2016‑01‑06 SC 13D/A CVC / Cablevision Systems Corp. * 9,705,496 8,927,789 -8.01 4.01 -8.24
2016‑01‑06 SC 13D OCAT / Ocata Therapeutics, Inc. * 1,697,800 4.01
2015‑12‑29 SC 13D/A CCO / Clear Channel Outdoor Holdings, Inc. * 2,667,144 2,747,144 3.00 5.92 2.96
2015‑12‑29 SC 13D/A BDBD / Boulder Brands, Inc. * 2,707,524 2,781,457 2.73 4.41 -0.23
2015‑12‑28 SC 13D/A EML / Eastern Company * 321,066 339,500 5.74 5.44 5.84
2015‑12‑28 SC 13D/A SUP / Superior Industries International, Inc. * 1,886,051 7.17
2015‑12‑23 SC 13D/A EDGW / Edgewater Technology, Inc. * 897,661 7.61
2015‑12‑22 SC 13D/A RES / RPC, Inc. * 5,565,513 2.56
2015‑12‑22 SC 13D/A JMG / Journal Media Group, Inc. * 1,302,131 5.34
2015‑12‑21 SC 13D/A BIOS / BioScrip, Inc. * 11,055,900 0 -100.00 0.0 -100.00
2015‑12‑21 SC 13D/A RNDY / Roundy's, Inc. * 1,231,800 0.0 -100.00
2015‑12‑17 SC 13D BIOS / BioScrip, Inc. * 10,227,761 1,231,800 -87.96 2.49 -83.27
2015‑12‑17 SC 13D RNDY / Roundy's, Inc. * 1,231,800 2.49
2015‑12‑17 SC 13D/A BIOS / BioScrip, Inc. * 1,231,800 11,055,900 797.54 16.08 545.78
2015‑12‑15 SC 13D/A JMG / Journal Media Group, Inc. * 1,292,303
2015‑12‑14 SC 13D/A ODC / Oil-Dri Corp. of America * 550,554 10.9
2015‑12‑14 SC 13D/A SEV / Sevcon, Inc. * 962,673
2015‑12‑03 SC 13D/A JMG / Journal Media Group, Inc. * 1,292,498 1,292,303 -0.02 5.29 -0.19
2015‑11‑30 SC 13D LBMH / Liberator Medical Holdings, Inc. * 1,954,102 3.66
2015‑11‑27 SC 13D/A SKY / Skyline Corp. * 358,590 4.27
2015‑11‑27 SC 13D/A ASCMB / Ascent Capital Group, Inc. * 963,963 980,628 1.73 7.99 7.10
2015‑11‑24 SC 13D/A JMG / Journal Media Group, Inc. * 1,278,313 1,292,498 1.11 5.3 1.15
2015‑11‑23 SC 13D/A WPP / Wausau Paper Corp. * 1,420,187 1,458,711 2.71 2.91 2.46
2015‑11‑19 SC 13D GGZ / Gabelli Global Small and Mid Cap Value Trust (The) * 1,655,732 20.28
2015‑11‑19 SC 13D/A BIOS / BioScrip, Inc. * 9,322,400 10,227,761 9.71 14.88 9.73
2015‑11‑17 SC 13D/A EZCH / EZchip Semiconductor Limited * 1,087,894 1,132,320 4.08 3.78 4.13
2015‑11‑17 SC 13D/A MYE / Myers Industries, Inc. * 4,792,692 15.9
2015‑11‑12 SC 13D WPP / Wausau Paper Corp. * 1,420,187 2.84
2015‑10‑29 SC 13D/A PBY / Pep Boys-Manny, Moe & Jack (The) *
2015‑10‑29 SC 13D EZCH / EZchip Semiconductor Limited * 1,087,894 3.63
2015‑10‑28 SC 13D DAN / Dana Holding Corp. * 5,149,724 3.37
2015‑10‑26 SC 13D/A JMG / Journal Media Group, Inc. * 428,073 1,278,313 198.62 5.24 194.38
2015‑10‑26 SC 13D/A PNM / PNM Resources, Inc. * 3,098,000 3.89
2015‑10‑19 SC 13D MSG / The Madison Square Garden Company * 860,394 4.22
2015‑10‑15 SC 13D/A WHG / Westwood Holdings Group, Inc. * 577,318 6.71
2015‑10‑09 SC 13D/A GDL^B / The GDL Fund * 1,323,989 6.59
2015‑10‑09 SC 13D/A INAP / Internap Corporation * 7,054,833 12.71
2015‑10‑02 SC 13D/A VIAB / Viacom, Inc. * 3,054,425 6.07
2015‑10‑02 SC 13D/A KYTH / Kythera Biopharma * 881,100 0 -100.00 0.0 -100.00
2015‑10‑02 SC 13D/A TRAK / DealerTrack Technologies, Inc. * 1,381,000 0 -100.00 0.0 -100.00
2015‑10‑02 SC 13D/A CVC / Cablevision Systems Corp. * 11,410,408 9,705,496 -14.94 4.37 -15.15
2015‑10‑01 SC 13D/A CCO / Clear Channel Outdoor Holdings, Inc. * 2,667,144 5.75
2015‑09‑30 SC 13D/A CPHC / Canterbury Park Holding Corp. * 538,880 503,780 -6.51 11.93 -6.50
2015‑09‑29 SC 13D/A LAYN / Layne Christensen Co. * 1,443,200 1,321,300 -8.45 6.68 -9.12
2015‑09‑23 SC 13D/A BIOS / BioScrip, Inc. * 9,434,400 9,322,400 -1.19 13.56 -1.31
2015‑09‑23 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 688,900 688,900 0.00 3.83 0.00
2015‑09‑15 SC 13D/A MSGN / MSG Networks Inc. * 2,652,566 4.26
2015‑09‑15 SC 13D/A TG / Tredegar Corp. * 4,494,245 4,685,895 4.26 14.34 4.29
2015‑09‑08 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 817,081 688,900 -15.69 3.83 -15.64
2015‑09‑03 SC 13D/A BELFA / Bel Fuse Inc. * 268,868 12.36
2015‑09‑03 SC 13D/A GRIF / Griffin Industrial Realty, Inc. * 1,062,495 20.62
2015‑09‑03 SC 13D/A IMKTA / Ingles Markets, Incorporated * 1,403,955 1,273,225 -9.31 9.21 -9.71
2015‑09‑03 SC 13D/A ASCMB / Ascent Capital Group, Inc. * 344,045 963,963 180.19 7.46 180.45
2015‑09‑03 SC 13D/A CR / Crane Co. * 2,948,257 5.08
2015‑09‑03 SC 13D/A CTS / CTS Corp. * 2,539,942 7.74
2015‑09‑03 SC 13D/A CPHC / Canterbury Park Holding Corp. * 491,228 538,880 9.70 12.76 9.62
2015‑09‑01 SC 13D/A JCS / Communications Systems, Inc. * 413,500 4.73
2015‑08‑25 SC 13D/A SEV / Sevcon, Inc. * 962,673 21.37
2015‑08‑20 SC 13D KYTH / Kythera Biopharma * 881,100 3.35
2015‑08‑20 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 990,000 817,081 -17.47 4.54 -17.45
2015‑08‑17 SC 13D/A GTI / * 6,426,302 300,000 -95.33 0.22 -95.30
2015‑08‑13 SC 13D/A SSP / Scripps Company * 5,186,758 5,664,210 9.21 7.83 9.05
2015‑08‑13 SC 13D/A UTI / Universal Technical Institute, Inc. * 394,800 1.64
2015‑08‑11 SC 13D/A EML / Eastern Company * 309,841 321,066 3.62 5.14 3.63
2015‑08‑11 SC 13D/A SWX / Southwest Gas Corp. * 1,719,700 3.65
2015‑08‑10 SC 13D/A FDML / Federal-Mogul Holdings Corp * 7,991,669 4.73
2015‑08‑06 SC 13D/A AJRD / Aerojet Rocketdyne Holdings, Inc. * 5,114,418 8.08
2015‑08‑06 SC 13D/A TG / Tredegar Corp. * 4,494,245 13.75
2015‑08‑04 SC 13D/A GSOL / Global Sources Ltd. * 452,357 1.92
2015‑07‑27 SC 13D/A ASTE / Astec Industries, Inc. * 1,349,480 5.87
2015‑07‑27 SC 13D/A BCO / Brink's Company (The) * 2,699,584 5.55
2015‑07‑27 SC 13D/A MLI / Mueller Industries, Inc. * 3,789,629 6.65
2015‑07‑14 SC 13D TRAK / DealerTrack Technologies, Inc. * 1,381,000 2.52
2015‑07‑13 SC 13D/A EML / Eastern Company * 309,841 4.96
2015‑07‑10 SC 13D/A SSP / Scripps Company * 4,511,566 5,186,758 14.97 7.18 15.06
2015‑07‑10 SC 13D/A BH / Biglari Holdings Inc. * 37,100 76,747 106.87 3.72 106.67
2015‑07‑09 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 1,190,334 990,000 -16.83 5.5 -16.92
2015‑07‑02 SC 13D/A BDBD / Boulder Brands, Inc. * 2,707,524 4.42
2015‑06‑26 SC 13D NULM / New Ulm Telecom, Inc. * 167,600 3.29
2015‑06‑25 SC 13D/A LEN.B / Lennar Corp. * 1,988,893 6.35
2015‑06‑22 SC 13D/A SSP / Scripps Company * 3,817,087 4,511,566 18.19 6.24 18.18
2015‑06‑18 SC 13D/A AMCX / AMC Networks Inc. * 1,660,902 2.73
2015‑06‑15 SC 13D/A PBY / Pep Boys-Manny, Moe & Jack (The) * 7,026,651
2015‑06‑11 SC 13D/A PBY / Pep Boys-Manny, Moe & Jack (The) * 7,046,951 7,026,651 -0.29 13.05 -0.08
2015‑06‑11 SC 13D/A GTI / * 6,318,137 6,426,302 1.71 4.68 1.74
2015‑06‑09 SC 13D/A BIOS / BioScrip, Inc. * 8,659,400 9,434,400 8.95 13.74 8.96
2015‑06‑08 SC 13D/A PBY / Pep Boys-Manny, Moe & Jack (The) * 7,046,951 13.06
2015‑06‑04 SC 13D/A CMT / Core Molding Technologies, Inc. * 345,300 325,000 -5.88 4.24 -5.78
2015‑06‑04 SC 13D/A GTI / * 5,508,202 6,318,137 14.70 4.6 14.71
2015‑06‑03 SC 13D/A LAYN / Layne Christensen Co. * 1,443,200 7.35
2015‑06‑02 SC 13D/A MPX / Marine Products Corp. * 2,259,555 5.9
2015‑06‑01 SC 13D/A AP / Ampco-Pittsburgh Corp. * 1,480,328 14.2
2015‑05‑28 SC 13D PKE / Park Electrochemical Corp. * 641,000 3.14
2015‑05‑28 SC 13D/A GTI / * 5,508,202 4.01
2015‑05‑19 SC 13D/A PBY / Pep Boys-Manny, Moe & Jack (The) * 6,990,051
2015‑05‑13 SC 13D/A IMKTA / Ingles Markets, Incorporated * 1,403,955 10.2
2015‑05‑13 SC 13D/A BIOS / BioScrip, Inc. * 8,659,400 12.61
2015‑05‑12 SC 13D/A SSP / Scripps Company * 3,817,087 5.28
2015‑05‑12 SC 13D/A BONT / Bon-Ton Stores, Inc. (THE) * 1,190,334 6.62
2015‑05‑11 SC 13D/A BBGI / Beasley Broadcast Group, Inc. * 1,471,428 1,473,428 0.14 22.38 0.13
2015‑05‑11 SC 13D/A CMT / Core Molding Technologies, Inc. * 345,300 4.5
2015‑05‑08 SC 13D/A TDS / Telephone and Data Systems, Inc. * 4,491,668 4,487,046 -0.10 4.45 0.00
2015‑05‑07 SC 13D/A PBY / Pep Boys-Manny, Moe & Jack (The) * 6,990,051 13.0
2015‑05‑07 SC 13D/A TDS / Telephone and Data Systems, Inc. * 4,526,843 4,491,668 -0.78 4.45 -0.89
2015‑05‑05 SC 13D/A FFIC / Flushing Financial Corp. * 987,042 3.36
2015‑05‑04 SC 13D/A CVC / Cablevision Systems Corp. * 11,410,408 5.15
2015‑04‑29 SC 13D/A NEWP / Newport Corporation * 0 0.0
2015‑04‑28 SC 13D/A TDS / Telephone and Data Systems, Inc. * 4,526,843 4.49
2015‑04‑28 SC 13D/A BBGI / Beasley Broadcast Group, Inc. * 1,471,428 22.35
2015‑04‑28 SC 13D/A MTRN / Materion Corp. * 989,200 4.84
2015‑04‑28 SC 13D/A MYE / Myers Industries, Inc. * 1,385,500
2015‑04‑28 SC 13D/A CPHC / Canterbury Park Holding Corp. * 491,228 11.64
2015‑04‑27 SC 13D/A SLI / SL Industries, Inc. * 315,508 7.77
2015‑04‑23 SC 13D HPTX / * 611,100 2.93
2015‑04‑21 SC 13D/A ASCMB / Ascent Capital Group, Inc. * 344,045 2.66
2015‑04‑21 SC 13D/A PBY / Pep Boys-Manny, Moe & Jack (The) *
2015‑04‑20 SC 13D/A SUP / Superior Industries International, Inc. * 685,000
2015‑04‑17 SC 13D/A MYE / Myers Industries, Inc. * 1,385,500 1,385,500 0.00 4.48 0.00
2015‑04‑15 SC 13D/A NATH / Nathan's Famous, Inc. * 157,000 3.49
2015‑04‑14 SC 13D/A MYE / Myers Industries, Inc. * 1,369,865 1,385,500 1.14 4.48 1.13
2015‑04‑13 SC 13D/A SUP / Superior Industries International, Inc. * 685,000 685,000 0.00 2.54 0.00
2015‑04‑10 SC 13D/A MYE / Myers Industries, Inc. * 1,369,865 4.43
2015‑04‑08 SC 13D/A SUP / Superior Industries International, Inc. * 685,000 2.54
2015‑04‑07 SC 13D/A BH / Biglari Holdings Inc. * 37,100 1.8
2015‑04‑06 SC 13D/A JRN / Journal Communications, Inc. * 0 0.0
2015‑04‑06 SC 13D JMG / Journal Media Group, Inc. * 428,073 1.78