Glenn W. Welling Holdings Activity

Engaged Capital Portfolio 13F

Engaged Capital has disclosed a total of 8 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 3, bought 3 totally new, decreased the number of shares of 1 and completely sold out 1 position(s).

What stocks is Glenn W. Welling buying now?

In the recent quarter Glenn W. Welling has bought 6 securities out of which top 5 purchases (by % change to portfolio) are (NATL) NCR ATLEOS CORP (new buy), (PRAA) PRA GROUP INC (new buy), (NVRO) NEVRO CORP (new buy), (EVH) EVOLENT HEALTH INC - A (added shares +15.13%) and (VFC) VF CORP (added shares +2.79%).

What does Glenn W. Welling invest in?

Glenn W. Welling's top 5 holdings (by % of portfolio) are (EVH) EVOLENT HEALTH INC - A (15.78%), (SHAK) SHAKE SHACK INC - CLASS A (14.84%), (VFC) VF CORP (14.71%), (NCR) NCR CORPORATION (12.43%) and (RCII) RENT-A-CENTER INC (11.93%).

In the latest report(s) the following changes have been made to the top investments: (EVH) EVOLENT HEALTH INC - A (added shares +15.13%), (VFC) VF CORP (added shares +2.79%) and (RCII) RENT-A-CENTER INC (reduced shares -34.64%).

2020 Q3 (9 results)
MED
-76.94%
-892,833
-15.18%
$164.45
84.73% $25.11
0.00%
IWM
+168.75%
+27,000
+0.42%
$149.79
37.51% $205.97
0.67%
RCII
-45.28%
-2,415,000
-7.47%
$29.89
10.40% $26.78
9.02%
NCR
+153.00%
+1,261,100
+2.89%
$22.14
22.31% $27.08
4.77%
SMPL
-100.00%
-458,630
-0.88%
$18.58
100.17% $37.19
0.00%
MX
buy
+910,877
+1.29%
$13.70
62.26% $5.17
0.00%
EVH
buy
+8,553,155
+10.98%
$12.41
122.56% $27.62
10.98%
STKL
+0.95%
+92,560
+0.07%
$7.42
23.45% $5.68
7.54%
INWK
-100.00%
-2,573,248
-0.35%
$1.32
-
0.00%
2020 Q2 (9 results)
IWM
buy
+16,000
+0.25%
$143.19
43.85% $205.97
0.25%
JACK
buy
+353,378
+2.82%
$74.09
25.97% $54.85
2.82%
MGLN
buy
+196,100
+1.54%
$72.98
30.16% $94.99
1.54%
HAIN
-24.07%
-5,072,179
-17.22%
$31.51
78.55% $6.76
54.31%
APOG
-100.00%
-984,759
-2.21%
$20.82
212.10% $64.98
0.00%
SMPL
buy
+458,630
+0.92%
$18.58
100.17% $37.19
0.00%
NCR
+29.19%
+186,257
+0.35%
$17.32
56.35% $27.08
1.54%
TIVO
-100.00%
-2,525,000
-1.93%
$7.08
-
0.00%
STKL
+11.45%
+1,000,000
+0.51%
$4.70
20.85% $5.68
4.93%
2020 Q1 (3 results)
APOG
-36.46%
-565,129
-1.54%
$20.82
212.10% $64.98
0.00%
NCR
-17.46%
-135,000
-0.31%
$17.70
52.99% $27.08
1.48%
INWK
-0.00%
-100
-0.00%
$1.17
-
0.39%
2019 Q4 (4 results)
MED
+126.40%
+647,853
+7.37%
$109.58
77.09% $25.11
13.21%
NCR
-28.19%
-303,453
-1.11%
$35.16
22.98% $27.08
2.82%
APOG
-8.25%
-139,444
-0.47%
$32.50
99.94% $64.98
5.23%
INWK
-0.35%
-8,998
-0.01%
$5.51
-
1.47%
2019 Q3 (3 results)
MED
buy
+512,523
+6.73%
$103.63
75.77% $25.11
6.73%
MGLN
-100.00%
-379,400
-3.57%
$74.23
27.97% $94.99
0.00%
DFRG
-100.00%
-3,328,000
-3.36%
$7.96
-
0.00%
2019 Q2 (5 results)
MED
-100.00%
-11,242
-0.17%
$127.56
80.31% $25.11
0.00%
MGLN
+66.73%
+151,842
+1.37%
$74.23
27.97% $94.99
0.00%
BHE
-100.00%
-343,873
-1.10%
$26.25
48.15% $38.89
0.00%
HAIN
+24.95%
+4,207,565
+11.21%
$21.90
69.13% $6.76
56.12%
PETX
-100.00%
-2,417,149
-1.06%
$3.60
-
0.00%
2019 Q1 (10 results)
MED
buy
+11,242
+0.20%
$127.56
80.31% $25.11
0.00%
MGLN
-11.03%
-28,203
-0.26%
$65.92
44.10% $94.99
2.11%
GRPN
-100.00%
-122,270
-1.10%
$64.00
82.47% $11.22
0.00%
ANIK
-100.00%
-374,926
-1.77%
$33.61
15.92% $28.26
0.00%
ASTE
-100.00%
-73,605
-0.31%
$30.19
9.28% $32.99
0.00%
BHE
-84.63%
-1,892,914
-6.97%
$26.25
48.15% $38.89
0.00%
HAIN
+43.36%
+5,099,970
+16.55%
$23.12
70.76% $6.76
54.72%
BW
-100.00%
-377,472
-0.21%
$3.90
70.04% $1.17
0.00%
PETX
-30.68%
-1,070,000
-0.54%
$3.60
-
0.00%
STKL
+27.34%
+1,875,000
+0.91%
$3.46
64.16% $5.68
4.24%
43 of 421

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.