Dalton Greiner Hartman Maher & Co 13F annual report

Dalton Greiner Hartman Maher & Co is an investment fund managing more than $126 million ran by Audrey Niesen. There are currently 149 companies in Mrs. Niesen’s portfolio. The largest investments include Berry Global Inc and Syneos Health Inc, together worth $5.15 million.

Limited to 30 biggest holdings

$126 million Assets Under Management (AUM)

As of 5th April 2021, Dalton Greiner Hartman Maher & Co’s top holding is 43,807 shares of Berry Global Inc currently worth over $2.69 million and making up 2.1% of the portfolio value. Relative to the number of outstanding shares of Berry Global Inc, Dalton Greiner Hartman Maher & Co owns more than approximately 0.1% of the company. In addition, the fund holds 32,363 shares of Syneos Health Inc worth $2.46 million, whose value grew 32.3% in the past six months. The third-largest holding is Valmont Inds Inc Com worth $2.44 million and the next is American Eagle Outfitters worth $2.43 million, with 83,136 shares owned.

Currently, Dalton Greiner Hartman Maher & Co's portfolio is worth at least $126 million. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Dalton Greiner Hartman Maher & Co

The Dalton Greiner Hartman Maher & Co office and employees reside in New York, New York. According to the last 13-F report filed with the SEC, Audrey Niesen serves as the CFO/CCO at Dalton Greiner Hartman Maher & Co.

Recent trades

In the most recent 13F filing, Dalton Greiner Hartman Maher & Co revealed that it had opened a new position in Idacorp and bought 15,776 shares worth $1.58 million. This means they effectively own approximately 0.1% of the company. Idacorp makes up 61.3% of the fund's Utilities sector allocation and has decreased its share price by approximately 0.1% in the past year.

The investment fund also strengthened its position in Universal Logistics Inc by buying 3,963 additional shares. This makes their stake in Universal Logistics Inc total 45,577 shares worth $1.2 million. Universal Logistics Inc dropped approximately 0.1% in the past year.

On the other hand, there are companies that Dalton Greiner Hartman Maher & Co is getting rid of from its portfolio. Dalton Greiner Hartman Maher & Co closed its position in Gibraltar Inds Inc Com on 12th April 2021. It sold the previously owned 109,965 shares for $7.91 million. Audrey Niesen also disclosed a decreased stake in Berry Global Inc by 0.7%. This leaves the value of the investment at $2.69 million and 43,807 shares.

One of the smallest hedge funds

The two most similar investment funds to Dalton Greiner Hartman Maher & Co are 7g Capital Management and Spreng Capital Management, Inc. They manage $126 million and $127 million respectively.


Audrey Niesen investment strategy

Dalton Greiner Hartman Maher & Co’s portfolio is diversified across 12 sectors. Currently, their heaviest sector is Industrials — making up 8.0% of the total portfolio value. The fund focuses on investments in the United States as 34.2% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 7% of the total holdings value. On the other hand, small-cap stocks make up only 0.7% of the portfolio. The average market cap of the portfolio companies is close to $39.4 billion.

The complete list of Dalton Greiner Hartman Maher & Co trades based on 13F SEC filings

These positions were updated on April 12th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Gibraltar Inds Inc Com
Closed
109,965
$7,911,000
Cabot Oil & Gas Corp Com
Closed
338,177
$5,506,000
Caleres Inc
Closed
339,724
$5,317,000
Owens Corning New Com
Closed
61,927
$4,692,000
WPX Energy Inc
Closed
538,684
$4,390,000
Meritage Homes Corp Com
Closed
51,817
$4,291,000
Moog Inc.
Closed
50,320
$3,990,000
Treehouse Foods Inc
Closed
88,709
$3,769,000
Helmerich & Payne, Inc.
Closed
159,533
$3,695,000
Nuance Communications Inc
Closed
75,414
$3,325,000
Berry Global Group Inc
69.62%
43,807
$2,690,000 2.13%
Syneos Health Inc
71.82%
32,363
$2,455,000 1.94%
Valmont Inds Inc Com
76.05%
10,259
$2,438,000 1.93%
American Eagle Outfitters Inc.
85.74%
83,136
$2,431,000 1.92%
Pebblebrook Hotel Tr Com
77.68%
86,884
$2,110,000 1.67%
Associated Banc Corp Com
86.08%
92,692
$1,978,000 1.56%
Xcel Energy Inc.
Closed
27,633
$1,842,000
Terex Corp New Com
11.49%
36,904
$1,700,000 1.34%
Mueller Inds Inc Com
76.91%
39,530
$1,635,000 1.29%
Quanta Svcs Inc Com
84.74%
18,203
$1,601,000 1.27%
Idacorp, Inc.
Opened
15,776
$1,577,000 1.25%
Eastman Chem Co Com
31.48%
14,258
$1,570,000 1.24%
Verizon Communications Inc Com
76.06%
26,206
$1,524,000 1.21%
Procter And Gamble Co Com
32.83%
11,114
$1,505,000 1.19%
Conocophillips Com
11.63%
28,317
$1,500,000 1.19%
HCA Healthcare Inc
37.34%
7,805
$1,470,000 1.16%
Radnet Inc
82.15%
66,726
$1,451,000 1.15%
Halliburton Co Com
16.33%
67,164
$1,441,000 1.14%
Comcast Corp New Cl A
31.51%
26,447
$1,431,000 1.13%
Lkq Corp Com
31.27%
33,687
$1,426,000 1.13%
DENTSPLY Sirona Inc
31.55%
21,948
$1,401,000 1.11%
Baxter Intl Inc Com
15.48%
16,510
$1,392,000 1.10%
Kulicke & Soffa Inds Inc Com
22.96%
27,441
$1,348,000 1.07%
Atkore Inc
89.69%
18,639
$1,340,000 1.06%
Cit Group Inc Com New
35.16%
25,890
$1,334,000 1.05%
Encompass Health Corp Com
42.97%
16,000
$1,310,000 1.04%
Public Svc Enterprise Group Co
36.58%
21,571
$1,299,000 1.03%
Sandy Spring Bancorp
83.87%
29,738
$1,292,000 1.02%
Mondelez International Inc.
31.49%
22,039
$1,290,000 1.02%
Globe Life Inc.
35.95%
13,144
$1,270,000 1.00%
Greenbrier Cos., Inc.
84.53%
26,756
$1,263,000 1.00%
Akamai Technologies Inc
25.55%
12,308
$1,254,000 0.99%
Analog Devices Inc.
36.26%
8,048
$1,248,000 0.99%
Jpmorgan Chase & Co Com
31.48%
8,157
$1,242,000 0.98%
Prudential Finl Inc Com
82.40%
13,410
$1,222,000 0.97%
Regions Financial Corp New Com
38.22%
58,853
$1,216,000 0.96%
Mack Cali Rlty Corp Com
78.25%
78,134
$1,210,000 0.96%
Universal Logistics Holdings Inc
9.52%
45,577
$1,199,000 0.95%
Agco Corp Com
49.64%
8,248
$1,185,000 0.94%
Nexstar Media Group Inc
87.25%
8,405
$1,180,000 0.93%
Masco Corp Com
37.84%
19,436
$1,164,000 0.92%
Pnc Finl Svcs Group Inc Com
31.44%
6,565
$1,152,000 0.91%
Allstate Corp Com
82.69%
10,015
$1,151,000 0.91%
Carriage Svcs Inc Com
Opened
32,594
$1,147,000 0.91%
Graphic Packaging Hldg Co Com
82.54%
62,907
$1,142,000 0.90%
Asbury Automotive Group Inc
87.54%
5,700
$1,120,000 0.89%
Community Tr Bancorp Inc Com
83.39%
24,988
$1,100,000 0.87%
Raytheon Technologies Corp Com
Closed
15,249
$1,090,000
Cisco Sys Inc Com
26.68%
20,870
$1,079,000 0.85%
Maximus Inc.
78.86%
11,692
$1,041,000 0.82%
Williams-Sonoma, Inc.
87.27%
5,760
$1,032,000 0.82%
Southwest Gas Holdings Inc
81.58%
14,461
$994,000 0.79%
Raymond James Financial, Inc.
31.45%
7,757
$951,000 0.75%
Amazon.com Inc.
32.08%
307
$950,000 0.75%
Lockheed Martin Corp Com
32.65%
2,562
$947,000 0.75%
Howard Hughes Corp Com
38.76%
9,909
$943,000 0.75%
Csx Corp Com
31.57%
9,738
$939,000 0.74%
Greenhill & Co Inc
81.89%
56,867
$937,000 0.74%
Ciena Corp Com New
92.57%
16,884
$924,000 0.73%
Arcosa Inc
81.91%
13,986
$910,000 0.72%
United Parcel Service, Inc.
31.65%
5,283
$898,000 0.71%
Integer Hldgs Corp Com
92.70%
9,604
$885,000 0.70%
Spectrum Brands Hldgs Inc New
87.26%
10,027
$852,000 0.67%
Provident Finl Svcs Inc Com
87.25%
37,661
$839,000 0.66%
First Horizon Corporation Com
88.78%
49,103
$830,000 0.66%
Fabrinet Shs
87.23%
9,164
$828,000 0.65%
Kennedy-wilson Hldgs Inc Com
87.91%
40,893
$826,000 0.65%
Washington Fed Inc Com
87.24%
26,276
$809,000 0.64%
Taylor Morrison Home Corp Com
87.25%
25,882
$797,000 0.63%
Revolve Group Inc
Opened
17,417
$783,000 0.62%
Hub Group, Inc.
86.98%
11,487
$773,000 0.61%
Northwestern Corp Com New
87.25%
11,848
$772,000 0.61%
First Hawaiian INC
87.25%
27,971
$766,000 0.61%
Forward Air Corp Com
89.80%
8,413
$747,000 0.59%
Century Cmntys Inc Com
50.90%
12,126
$731,000 0.58%
Envista Holdings Corporation C
89.54%
17,828
$727,000 0.57%
Columbia Bkg Sys Inc Com
87.25%
16,373
$706,000 0.56%
Rocky Brands, Inc
54.32%
12,809
$692,000 0.55%
Bank Of Nt Butterfield&son Ltd
80.45%
17,954
$686,000 0.54%
Cnx Res Corp Com
88.30%
46,388
$682,000 0.54%
Fbl Finl Group Inc Cl A
87.26%
12,122
$678,000 0.54%
Malibu Boats Inc
46.58%
8,479
$676,000 0.53%
Stag Indl Inc Com
87.42%
19,977
$671,000 0.53%
Prestige Consmr Healthcare Inc
87.26%
15,167
$669,000 0.53%
Healthpeak Properties Inc Com
39.87%
21,010
$667,000 0.53%
Transcat Inc
Closed
19,051
$661,000
South St Corp Com
87.24%
8,360
$656,000 0.52%
Renaissancere Holdings Ltd Com
87.27%
4,008
$642,000 0.51%
Unifirst Corp Mass Com
88.96%
2,810
$629,000 0.50%
United Sts Lime & Minerals Inc
46.56%
4,661
$623,000 0.49%
Ducommun Inc Del Com
46.49%
10,202
$612,000 0.48%
Hancock Whitney Corp.
87.28%
14,327
$602,000 0.48%
Radian Group, Inc.
87.26%
25,745
$599,000 0.47%
Great Lakes Dredge & Dock Corporation
90.98%
41,037
$598,000 0.47%
Hanger Inc Com New
38.47%
25,591
$584,000 0.46%
Vera Bradley Inc
46.32%
57,859
$584,000 0.46%
Schweitzer-mauduit Intl Inc Co
32.06%
11,866
$581,000 0.46%
AZZ Inc
22.74%
11,204
$564,000 0.45%
Cousins Pptys Inc Com
87.60%
15,736
$556,000 0.44%
Healthcare Tr Amer Inc Cl A Ne
83.29%
20,077
$554,000 0.44%
Independence Rlty Tr Inc Com
50.55%
35,523
$540,000 0.43%
Foundation Bldg Matls Inc Com
Closed
28,070
$539,000
Commercial Veh Group Inc Com
55.02%
55,512
$536,000 0.42%
Bonanza Creek Energy Inc Com N
46.58%
14,997
$536,000 0.42%
Foster L B Co Com
38.31%
28,652
$513,000 0.41%
Icon Plc Shs
83.21%
2,612
$513,000 0.41%
Hersha Hospitality Tr Pr Shs B
51.00%
48,329
$510,000 0.40%
Pacific Mercantile Bancorp Com
46.37%
57,175
$509,000 0.40%
Spirit Rlty Cap Inc New Com Ne
Opened
11,850
$504,000 0.40%
Employers Hldgs Inc Com
46.43%
11,613
$500,000 0.40%
Cable One Inc
93.04%
273
$499,000 0.39%
Preformed Line Prods Co Com
45.49%
7,247
$498,000 0.39%
Cbiz Inc
46.69%
15,205
$497,000 0.39%
Koppers Holdings Inc
37.57%
14,215
$494,000 0.39%
Harvard Bioscience Inc.
62.58%
89,472
$489,000 0.39%
NIC Inc
59.89%
13,619
$462,000 0.37%
Onto Innovation Inc.
56.44%
6,777
$445,000 0.35%
Southern Natl Bancorp Of Va In
Closed
36,786
$445,000
Lazydays Hldgs Inc Com
46.55%
24,114
$429,000 0.34%
M/i Homes Inc Com
46.48%
7,138
$422,000 0.33%
First Cmnty Bankshares Inc Nev
46.34%
13,769
$413,000 0.33%
Viemed Healthcare Inc
16.83%
40,782
$413,000 0.33%
First Bancorp N C Com
46.46%
9,439
$411,000 0.33%
Vectrus Inc
56.36%
7,683
$411,000 0.33%
iStar Inc
51.69%
23,051
$410,000 0.32%
Artesian Res Corp Cl A
46.57%
10,095
$398,000 0.31%
Catchmark Timber Tr Inc Cl A
51.20%
37,509
$382,000 0.30%
Northrim Bancorp, Inc.
46.59%
8,897
$378,000 0.30%
Hawkins Inc
6.88%
10,946
$367,000 0.29%
National Bankshares Inc Va Com
46.41%
10,313
$366,000 0.29%
First Westn Finl Inc Com
44.34%
14,255
$357,000 0.28%
HomeTrust Bancshares Inc
46.34%
14,568
$355,000 0.28%
Fresh Del Monte Produce Inc Or
46.49%
12,307
$352,000 0.28%
Unitil Corp Com
46.25%
7,682
$351,000 0.28%
Central Vy Cmnty Bancorp Com
46.33%
18,686
$344,000 0.27%
Orthofix Med Inc Com
Opened
7,910
$343,000 0.27%
Rgc Res Inc Com
46.14%
15,280
$339,000 0.27%
Crawford & Company
46.45%
31,065
$331,000 0.26%
Territorial Bancorp Inc
37.98%
12,528
$331,000 0.26%
Nve Corp Com New
46.47%
4,483
$314,000 0.25%
Re Max Hldgs Inc Cl A
46.50%
7,976
$314,000 0.25%
Western New Eng Bancorp Inc Co
46.23%
36,801
$310,000 0.25%
Marten Trans Ltd Com
52.02%
18,134
$308,000 0.24%
Kimball Electronics Inc
58.31%
11,777
$304,000 0.24%
Primis Financial Corp Com
Opened
20,093
$292,000 0.23%
Amer Software Inc Cl A
66.77%
14,101
$292,000 0.23%
Gray Television, Inc.
46.82%
15,743
$290,000 0.23%
Alexander & Baldwin Inc New Co
52.19%
17,248
$290,000 0.23%
Progressive Corp Ohio Com
Closed
2,920
$289,000
Citizens Finl Group Inc Com
Closed
7,949
$284,000
Huntsman Corp Com
Closed
11,220
$282,000
Universal Hlth Svcs Inc Cl B
Closed
1,956
$269,000
Nathans Famous Inc New Com
46.22%
4,202
$265,000 0.21%
City Office REIT Inc
46.68%
23,053
$245,000 0.19%
Devon Energy Corp New Com
Opened
10,751
$235,000 0.19%
Altice USA Inc
Closed
5,940
$225,000
Fortress Trans Infrst Invs Llc
Closed
9,336
$219,000
Bankfinancial Corp Com
46.37%
20,577
$212,000 0.17%
Chesapeake Utils Corp Com
46.48%
1,825
$212,000 0.17%
Eagle Matls Inc Com
96.52%
1,507
$203,000 0.16%
Enviva Partners Lp Com Unit
Closed
4,474
$203,000
Brixmor Ppty Group Inc Com
Closed
10,807
$179,000
Donegal Group Inc.
Closed
11,933
$168,000
No transactions found
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