Zebra Capital Management 13F annual report

Zebra Capital Management is an investment fund managing more than $34 million ran by John Jr.. There are currently 98 companies in Mr. Jr.’s portfolio. The largest investments include Chesapeake Energy Corp Com Stk and Otter Tail Corp Com Stk, together worth $1.99 million.

Limited to 30 biggest holdings

$34 million Assets Under Management (AUM)

As of 8th August 2022, Zebra Capital Management’s top holding is 12,545 shares of Chesapeake Energy Corp Com Stk currently worth over $1.02 million and making up 3.0% of the portfolio value. In addition, the fund holds 14,473 shares of Otter Tail Corp Com Stk worth $972 thousand. The third-largest holding is Ovintiv Inc worth $928 thousand and the next is Scansource Inc Com Stk worth $896 thousand, with 28,776 shares owned.

Currently, Zebra Capital Management's portfolio is worth at least $34 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 Zebra Capital Management

The Zebra Capital Management office and employees reside in Stamford, Connecticut. According to the last 13-F report filed with the SEC, John Jr. serves as the President at Zebra Capital Management.

Recent trades

In the most recent 13F filing, Zebra Capital Management revealed that it had opened a new position in Chesapeake Energy Corp Com Stk and bought 12,545 shares worth $1.02 million.

The investment fund also strengthened its position in Emergent Biosolutions Inc by buying 6,335 additional shares. This makes their stake in Emergent Biosolutions Inc total 25,250 shares worth $784 thousand. Emergent Biosolutions Inc dropped approximately 0.1% in the past year.

On the other hand, there are companies that Zebra Capital Management is getting rid of from its portfolio. Zebra Capital Management closed its position in Insight Enterprises Inc Com St on 15th August 2022. It sold the previously owned 20,288 shares for $2.03 million. John Jr. also disclosed a decreased stake in Otter Tail Corp Com Stk by 0.5%. This leaves the value of the investment at $972 thousand and 14,473 shares.

One of the smallest hedge funds

The two most similar investment funds to Zebra Capital Management are Tower House Partners LL.P. and Foresite Capital Management I. They manage $34.1 million and $33.9 million respectively.


John Jr. investment strategy

Zebra Capital Management’s portfolio is diversified across 12 sectors. Currently, their heaviest sector is Health Care — making up 11.2% of the total portfolio value. The fund focuses on investments in the United States as 39.8% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are small-cap stocks. Stocks with a size of more than $100 million in market cap make up 2% of the total holdings value. On the other hand, large-cap stocks make up only 1.0% of the portfolio. The average market cap of the portfolio companies is close to $1.82 billion.

The complete list of Zebra Capital Management trades based on 13F SEC filings

These positions were updated on August 15th 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
Insight Enterprises Inc Com St
Closed
20,288
$2,029,000
Enstar Group Limited Com Stk
Closed
6,937
$1,657,000
LCI Industries
Closed
10,042
$1,320,000
Myr Group Inc/delaware
Closed
14,246
$1,295,000
Donegal Group Inc.
Closed
87,749
$1,278,000
Pc Connection Inc Com Stk
Closed
27,033
$1,251,000
Helen Of Troy Ltd (formerly He
Closed
4,647
$1,060,000
Chesapeake Energy Corp Com Stk
Opened
12,545
$1,017,000 2.99%
Blueprint Medicines Corp
Closed
11,460
$1,008,000
Consolidated Communications Holdings Inc
Closed
113,370
$996,000
Stepan Co Com Stk
Closed
8,203
$987,000
Otter Tail Corp Com Stk
46.61%
14,473
$972,000 2.86%
Ovintiv Inc
Opened
21,000
$928,000 2.73%
Scansource Inc Com Stk
Opened
28,776
$896,000 2.63%
Atlanticus Holdings Corp
Closed
22,342
$887,000
Alkermes Inc Com Stk
Opened
27,067
$806,000 2.37%
Emergent Biosolutions Inc
33.49%
25,250
$784,000 2.30%
Universal Fst Prods Inc Com St
Opened
11,406
$777,000 2.28%
Kforce Inc Com Stk
Closed
12,109
$762,000
Kimball Electronics Inc
Closed
35,065
$762,000
National Western Life Insuranc
19.30%
3,712
$753,000 2.21%
United States Cellular Corp Co
Opened
25,353
$734,000 2.16%
Diodes Inc Com Stk
Closed
9,193
$733,000
Beacon Roofing Supply Inc
Opened
14,201
$729,000 2.14%
Amkor Technology Inc Com Stk
Opened
42,804
$726,000 2.13%
Opko Health Inc
Opened
285,778
$723,000 2.12%
Ryerson Inc Cash Merge
Opened
32,775
$697,000 2.05%
Ironwood Pharmaceuticals Inc
Closed
53,359
$687,000
Insweb Corp
Closed
35,670
$684,000
Natera Inc
Closed
5,697
$647,000
Vir Biotechnology Inc
Opened
25,419
$647,000 1.90%
Veritiv Corpratn
12.10%
5,883
$639,000 1.88%
Natus Medical Inc Del Co
Closed
24,473
$636,000
Republic Bancorp Inc-cl A
Closed
13,738
$634,000
Denali Therapeutcs Inc
Closed
8,043
$631,000
Rush Enterprises Inccl A Com S
63.66%
12,642
$609,000 1.79%
Kelly Services Inc Cl A Com S
63.29%
30,384
$603,000 1.77%
Teletech Hldgs Inc Com Stk
Opened
8,800
$597,000 1.75%
Integrated Elec
Closed
11,499
$591,000
ICF International, Inc
Closed
6,712
$590,000
Eplus Inc Com Stk
16.56%
10,981
$583,000 1.71%
Healthstream Inc Com Stk
Closed
20,446
$571,000
Encore Wire Corp Com Stk
Closed
7,401
$561,000
Rent A Ctr Inc New Com Stk
21.71%
27,878
$542,000 1.59%
Computer Programs & Systems In
Closed
16,230
$539,000
Orthofix International Nv Com
Closed
13,413
$538,000
Forestar Group Inc Com Stk
13.59%
39,150
$536,000 1.58%
Franklin Electric Co Inc Com S
Closed
6,604
$532,000
Five Star Quality Care Inc Com
Closed
89,274
$514,000
Patrick Inds Inc Com Stk
31.54%
9,873
$512,000 1.50%
Coca Cola Bottling Co Cons Com
76.76%
897
$506,000 1.49%
Phibro Animal Health Corp.
47.34%
26,352
$504,000 1.48%
Dxp Enterprises Inc Com Stk
Closed
15,097
$502,000
Potlatch Holdings Inc Com
36.75%
11,356
$502,000 1.48%
Joint Corp
Closed
5,957
$500,000
Piedmont Office Realty Trust Inc
Closed
26,789
$495,000
Village Super Market Inc Com S
Closed
20,137
$473,000
Motorola Mobility Holdings
33.80%
12,537
$464,000 1.36%
Mge Energy Inc Com Stk
43.78%
5,746
$447,000 1.31%
Dorian LPG Ltd
Closed
31,509
$445,000
Mueller Industries, Inc.
64.39%
8,132
$433,000 1.27%
Applied Indl Technologies Inc
Opened
4,489
$432,000 1.27%
Gentherm Inc Com Stk
Closed
6,067
$431,000
Alerus Financial Corp
Closed
14,717
$427,000
Diversified Healthcare Trust
Opened
227,421
$414,000 1.22%
Tennant Co Com Stk
Closed
5,105
$408,000
Blue Bird Corp
Closed
16,433
$408,000
Ingles Mkts Inc Cl A Com S
Opened
4,634
$402,000 1.18%
Kennedy-wilson Hldgs Inc Com
Closed
20,171
$401,000
Daktronics Inc Com Stk
Closed
60,401
$398,000
Vericel Corp
Closed
7,479
$393,000
Osi Systems Inc Com Stk
35.55%
4,581
$391,000 1.15%
Seaspine Holdings Corp Wi
Closed
18,827
$386,000
Johnson Outdoors Inccl-a Com
Closed
3,191
$386,000
Novanta Inc
Closed
2,860
$385,000
Hooker Furniture Corp Com Stk
Closed
10,942
$379,000
Merchants Bancorp
9.13%
16,307
$370,000 1.09%
Myers Inds Inc Com Stk
Closed
17,642
$370,000
Adams Resources & Energy Inc C
Closed
13,167
$365,000
Hamilton Beach Brand
Closed
16,246
$362,000
Cardiovascular Sys Inc Com S
Closed
8,458
$361,000
Hawkins Inc
Closed
10,771
$353,000
Marten Transport Ltd Com Stk
Closed
21,052
$347,000
Career Ed Corp Com Stk
Closed
28,158
$345,000
Universal Electronics Inc.
Closed
7,068
$343,000
Seneca Foods Corp Cl A Com S
Closed
6,633
$339,000
Golfsmith Intl Hldgs Inc Com S
58.58%
8,142
$339,000 1.00%
Weis Markets Inc Com Stk
71.63%
4,534
$338,000 0.99%
Cnb Financial Corp (pa) Com St
Closed
14,764
$337,000
Altera Corp Com Stk
Closed
4,862
$335,000
CSG Systems International Inc.
56.72%
5,481
$327,000 0.96%
Olympic Steel Inc Com Stk
47.86%
12,716
$327,000 0.96%
Clarus Corp
Closed
12,737
$327,000
Enterprise Bncp
Closed
9,911
$324,000
Great Lakes Dredge & Dock Cor
Closed
21,600
$316,000
Corvel Corp Com Stk
73.34%
2,084
$307,000 0.90%
Republic Bancorp Inc Michigan
Closed
11,057
$307,000
BrightView Holdings Inc
Opened
25,524
$306,000 0.90%
Resources Connection Inc Com S
Closed
21,258
$305,000
Halozyme Therapeutics Inc.
26.45%
6,877
$303,000 0.89%
Cross Ctry Healthcare Inc Com
86.84%
14,351
$299,000 0.88%
NextGen Healthcare Inc
59.45%
17,170
$299,000 0.88%
Universal Logistics Holdings Inc
55.05%
10,870
$296,000 0.87%
DZS Inc
Closed
14,090
$292,000
HBT Financial Inc
Closed
16,708
$291,000
Innovage Hold Corp
Opened
66,368
$291,000 0.86%
Ribbon Communications Inc
23.71%
94,689
$288,000 0.85%
Surmodics Inc Com Stk
Closed
5,273
$286,000
Puma Biotechnology Inc
Closed
30,905
$284,000
California Resources Corporation
Opened
7,387
$284,000 0.83%
Dynamic Materials Corp
Closed
5,040
$283,000
RMR Group Inc (The)
24.27%
9,863
$280,000 0.82%
Myriad Genetics Inc Com Stk
48.55%
15,352
$279,000 0.82%
Eagle Pharmaceuticals Inc
Closed
6,472
$277,000
Southern Missouri Bancorp, Inc.
Closed
6,173
$277,000
Farmers Natl Banc Corp/oh
Closed
17,630
$274,000
Univest Corp Of Pennsylvania
Opened
10,692
$273,000 0.80%
Origin Bancorp Inc
Opened
7,019
$272,000 0.80%
Indstrl Lgst Prpt Trst
Closed
10,163
$266,000
Kimball Intl Inc Cl B Com S
Closed
20,243
$266,000
Scholastic Corp Com Stk
65.00%
7,193
$259,000 0.76%
FS Bancorp Inc
Closed
3,615
$258,000
American Vanguard Corp Com Stk
Closed
14,668
$257,000
Innospec Inc
59.59%
2,673
$256,000 0.75%
Oportun Financial Corp
Opened
30,857
$255,000 0.75%
SmartFinancial Inc
Closed
10,598
$254,000
Investors Title Co Nc Com Stk
Opened
1,596
$251,000 0.74%
Matador Resources Co
Opened
5,352
$249,000 0.73%
First Business Financial
Closed
9,159
$248,000
Dorman Products Inc
57.85%
2,264
$248,000 0.73%
Superior Uniform Group Inc Com
Closed
10,342
$247,000
Motorcar Parts Of Amer Inc
Closed
10,947
$246,000
Waterstone Financial Com Stk
Opened
14,441
$246,000 0.72%
Madden Steven Ltd Com Stk
Opened
7,615
$245,000 0.72%
Luther Burbank Corp
41.65%
18,530
$242,000 0.71%
Commvault Systems Inc
41.00%
3,795
$239,000 0.70%
Apollo Medical Holding Inc
16.38%
6,194
$239,000 0.70%
American Public Education Inc
Closed
8,389
$238,000
Anika Therapeutics Inc Com Stk
Closed
5,455
$236,000
Community Tr Bancorp Inc Com S
Opened
5,849
$236,000 0.69%
Formfactor Inc Com Stk
Opened
5,988
$232,000 0.68%
Alarm.com Holdings Inc
Opened
3,687
$228,000 0.67%
Chromadex Corp
Closed
23,020
$227,000
First Savings Financial Gp
Closed
3,076
$225,000
Trean Insurance Gr Inc
Opened
35,956
$224,000 0.66%
Security National Financial Corp.
Closed
25,436
$223,000
Saul Centers, Inc.
Closed
4,916
$223,000
Bottomline Technologies Del In
Closed
5,974
$222,000
MetroCity Bankshares Inc
Closed
12,533
$220,000
Advanced Medical Optics Inc Co
Opened
7,994
$220,000 0.65%
Voyager Therapeutics Inc
Closed
53,360
$220,000
Chord Energy Group
Opened
1,804
$219,000 0.64%
Standard Motor Products Com St
64.28%
4,735
$213,000 0.63%
Cutera Inc Com Stk
15.45%
5,649
$212,000 0.62%
Chicopee Bancorp
Closed
10,366
$212,000
Onewater Marine Inc
Opened
6,383
$211,000 0.62%
Forrester Research Inc Cambri
Closed
4,584
$210,000
Americas Car-mart Inc Com Stk
36.15%
2,088
$210,000 0.62%
QAD, Inc.
Closed
2,416
$210,000
Cimpress plc
Opened
5,346
$208,000 0.61%
Idt Corp Cl B Com S
78.85%
8,262
$208,000 0.61%
Atrion Corp Com Stk
Closed
334
$207,000
MidWestOne Financial Group Inc
Opened
6,920
$205,000 0.60%
Avid Technology Inc Com Stk
Opened
7,825
$203,000 0.60%
South Plains Financial Inc
38.40%
8,310
$201,000 0.59%
L B Foster Co Cl A Com S
Closed
10,682
$199,000
Unionbancorp Inc Com Stk
Closed
33,502
$190,000
Information Services Group Inc.
Closed
31,247
$183,000
Radiant Logistics, Inc.
56.37%
24,272
$180,000 0.53%
Rti Biologics Inc Com
Closed
127,951
$178,000
Lands' End Inc
40.07%
15,477
$164,000 0.48%
Vanda Pharmaceuticals Inc
50.59%
14,766
$161,000 0.47%
Organogenesis Holdings Inc.
21.84%
32,628
$159,000 0.47%
Interface Inc Cl A Com S
Opened
12,519
$157,000 0.46%
Retrophin, Inc.
Closed
10,545
$154,000
Whitestone REIT
No change
13,813
$148,000 0.43%
Macatawa Bk Corp Com Stk
Closed
16,870
$148,000
Harrow Health, Inc.
Closed
15,786
$147,000
Viemed Healthcare Inc
Closed
20,048
$143,000
Tredegar Corp Com Stk
Opened
13,391
$134,000 0.39%
Mexican Restaurants Inc Com St
19.19%
32,326
$127,000 0.37%
Altiris Inc Com Stk
Closed
28,438
$124,000
Adamas Pharmaceuticals Inc
Closed
23,400
$124,000
Bioventus Inc
Opened
17,569
$120,000 0.35%
MiMedx Group, Inc
Opened
33,988
$118,000 0.35%
Stereotaxis Inc Com Stk
Closed
12,190
$118,000
Precigen Inc
Closed
17,448
$114,000
Audiovox Corp Cl A Com S
Opened
12,148
$113,000 0.33%
Riverview Bancorp Inc Com Stk
Closed
15,604
$111,000
Overseas Shipholding Group, Inc.
Closed
51,240
$107,000
Lsi Inds Inc Ohio Com Stk
Closed
12,940
$104,000
Rpc Inc Com Stk
24.20%
14,976
$103,000 0.30%
Franklin Street Properties Cor
34.79%
23,229
$97,000 0.29%
Siga Technologies Inc Com Stk
Closed
14,459
$91,000
Charming Shoppes
Opened
12,570
$91,000 0.27%
Biodelivery Sci
Closed
23,622
$85,000
Catalyst Pharmaceuticals Inc
75.83%
11,382
$80,000 0.24%
Durect Corp Com Stk
Closed
47,646
$78,000
Maiden Hldgs Ltd
Opened
39,205
$76,000 0.22%
Osmotica Pharmaceutic
Closed
24,384
$73,000
Brightcove Inc
Opened
10,209
$65,000 0.19%
Vera Bradley Inc
64.85%
12,532
$54,000 0.16%
HF Foods Group Inc.
Opened
10,372
$54,000 0.16%
Repro Medsystems Inc
Closed
11,183
$52,000
Home Point Capital Inc.
Opened
11,999
$47,000 0.14%
Accuray Inc
Opened
11,152
$22,000 0.06%
Digital Media Solutions, Inc.
Opened
15,016
$17,000 0.05%
No transactions found
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