SEC 13F Intelligence

Managers / Q4 2019 · view latest →

Matarin Capital Management, LLC

CIK 0001579668 · 420 LEXINGTON AVENUE, SUITE 2255, NEW YORK, NY, 10170 · 6466047640

Reported Value
$1.0B
Q4 2019
Positions
235
Filings on Record
9
2019–present window
Filed
Feb 3, 2020
original filing

Summary

Matarin Capital Management, LLC reported $1.0B in U.S.-listed holdings across 235 positions for Q4 2019.

Its largest position, AAPL, represents 1.4% of the portfolio.

Compared with Q3 2019, the fund opened 22 new positions and exited 34.

Portfolio Metrics

Turnover
+8.4%
vs prior filed quarter
Top-10 Concentration
+11.7%
share of reported value
Largest Position
+1.4%
Apple
New / Exited
22 / 34
positions this quarter

Methodology: turnover is min(value bought, value sold) ÷ average reported value across the two quarters — value-based, so market moves inflate it slightly versus a share-based measure. Concentration and largest position are shares of the filing’s total reported value, options excluded. New/exited counts compare against the prior filed quarter. All figures derive solely from the fund’s 13F filings.

Reported Value by Quarter

13F Reported Value
Q4 ’18: $1.24TQ4 ’18Q2 ’19: $1.4BQ2 ’19Q3 ’19: $1.3BQ3 ’19Q4 ’19: $1.0BQ4 ’19Q1 ’20: $644MQ1 ’20Q2 ’20: $501MQ2 ’20Q4 ’20: $409MQ4 ’20filingsflow.com

Portfolio Composition

By security type
Common Stock: 91.6%REIT: 4.8%Other: 3.6%
  • Common Stock · 91.6% · $958M
  • REIT · 4.8% · $50M
  • Other · 3.6% · $38M

Quarter-over-Quarter Changes full breakdown →

vs Q3 2019 (amended baseline)

IssuerMoveShare ΔShares nowValue ΔValue now
INTCINTEL CORPNEW+101.9K101.9K+$6M$6M
IBPINSTALLED BUILDING PRODUCTSNEW+79.4K79.4K+$5M$5M
MGLNUSDMAGELLAN HEALTH INCNEW+69.8K69.8K+$5M$5M
INGNINOGEN INCNEW+64.8K64.8K+$4M$4M
MGPIMGP INGREDIENTS INCNEW+87.9K87.9K+$4M$4M
CVSCVS CAREMARK CORPNEW+34.6K34.6K+$3M$3M
BXPBOSTON PROPERTIES INCNEW+17.4K17.4K+$2M$2M
SWCHFSIERRA WIRELESS INCNEW+245.1K245.1K+$2M$2M

Value changes conflate price moves with buying and selling — share changes are the real signal. Share counts are not split-adjusted.

Holdings — Q4 2019

50 positions
#IssuerClass% PortfolioValueShares
1AAPLAPPLE INChistory →COM1.38%$14M49.2K
2MUSAMURPHY USA INChistory →COM1.26%$13M113.1K
3ATKRATKORE INTERNATIONAL GROUP Ihistory →COM1.20%$13M311.5K
4CARDTRONICS INCCOM1.17%$12M275.2K
5ARWRARROWHEAD PHARMACEUTICALS INhistory →COM1.17%$12M193.2K
6OGM1COGENT COMMUNICATIONS HOLDINhistory →COM1.17%$12M185.9K
7IEIINSIGHT ENTERPRISES INChistory →COM1.16%$12M171.9K
8MEDPMEDPACE HOLDINGS INChistory →COM1.09%$11M136.0K
9SHOOSTEVEN MADDEN LTDhistory →COM1.07%$11M260.6K
10AMKRAMKOR TECHNOLOGY INChistory →COM1.05%$11M846.3K
11KLICKULICKE & SOFFA INDUSTRIEShistory →COM1.05%$11M404.2K
12EVTCEVERTEC INChistory →COM1.05%$11M322.3K
13BHEBENCHMARK ELECTRONICS INChistory →COM1.04%$11M317.7K
14GPIGROUP 1 AUTOMOTIVE INChistory →COM1.04%$11M108.4K
15USNAUSANA HEALTH SCIENCES INChistory →COM1.01%$11M134.3K
16PATKPATRICK INDUSTRIES INChistory →COM1.00%$10M200.2K
17EGRXEAGLE PHARMACEUTICALS INChistory →COM0.98%$10M170.0K
18SCLSTEPAN COhistory →COM0.98%$10M99.7K
19MTORMERITOR INCCOM0.96%$10M381.7K
20ALGTALLEGIANT TRAVEL COCOM0.94%$10M56.4K
21SUPNSUPERNUS PHARMACEUTICALS INCCOM0.93%$10M409.9K
22USCRUS CONCRETE INCCOM0.92%$10M231.9K
23GJBSTEELCASE INC-CL ACOM0.91%$9M464.0K
24ZM3ZUMIEZ INCCOM0.89%$9M268.8K
25COKECOCA-COLA BOTTLING CO CONSOLCOM0.87%$9M31.9K
26URBNURBAN OUTFITTERS INCCOM0.86%$9M323.1K
27WDRWADDELL & REED FINANCIAL-ACOM0.85%$9M530.9K
28OMFONEMAIN HOLDINGS INCCOM0.85%$9M210.3K
29RRCRANGE RESOURCES CORPCOM0.83%$9M1.78M
30NAVINAVIENT CORPCOM0.82%$9M630.2K
31BOHBANK OF HAWAII CORPCOM0.82%$9M90.5K
32CPFCENTRAL PACIFIC FINANCIAL COCOM0.81%$8M286.0K
33INVAINNOVIVA INCCOM0.81%$8M595.0K
34SF9SANDERSON FARMS INCCOM0.80%$8M47.8K
35ENTAENANTA PHARMACEUTICALS INCCOM0.80%$8M136.2K
36ARCBARCBEST CORPCOM0.79%$8M301.1K
37ALRMALARM.COM HOLDINGS INCCOM0.79%$8M192.7K
38PRSPPERSPECTA INCCOM0.79%$8M310.9K
39FCNFTI CONSULTING INCCOM0.78%$8M73.8K
40PFBCPREFERRED BANK/LOS ANGELESCOM0.78%$8M135.8K
41MMIMARCUS & MILLICHAP INCCOM0.78%$8M218.3K
42PDMPIEDMONT OFFICE REALTY TRU-A REIT 0.0COM0.78%$8M364.9K
43MTZMASTEC INCCOM0.77%$8M125.1K
44JXC1J2 GLOBAL INCCOM0.77%$8M85.4K
45HOMBHOME BANCSHARES INCCOM0.76%$8M402.4K
46MGRCMCGRATH RENTCORPCOM0.75%$8M103.0K
47HTDCORCEPT THERAPEUTICS INCCOM0.75%$8M650.3K
48EVREVERCORE PARTNERS INC-CL ACOM0.75%$8M105.2K
49BJRIBJ'S RESTAURANTS INCCOM0.75%$8M205.9K
50BZHBEAZER HOMES USA INCCOM0.73%$8M541.5K

Filing History

QuarterReported ValuePositionsFiledTypeLinks
Q4 2020$409M184Feb 3, 202113F-HRchanges · EDGAR ↗
Q2 2020$501M190Aug 6, 202013F-HRchanges · EDGAR ↗
Q1 2020$644M198Apr 27, 202013F-HRchanges · EDGAR ↗
Q4 2019$1.0B235Feb 3, 202013F-HRchanges · EDGAR ↗
Q3 2019$1.3B247Nov 5, 201913F-HRchanges · EDGAR ↗
Q2 2019$1.4B256Aug 8, 201913F-HRchanges · EDGAR ↗
Q1 2019Under review262Apr 24, 201913F-HRchanges · EDGAR ↗
Q4 2018$1.24T259Feb 6, 201913F-HRchanges · EDGAR ↗

13F filings are due up to 45 days after quarter end, so holdings shown here lag the fund’s current book. Source: original SEC filing on EDGAR ↗.