APPLIED INDL TECHNOLOGIES IN

Ticker: AIT CUSIP: 03820C105 Class: Common Stock

Note: Option positions (PUT/CALL) are excluded.

New Positions (56)

Increased Positions (149)

Pier Capital, LLC
Value ($000) $7,654 (+68.0%) Shares 29,807 (+70.8%)
BRIAN LOW FINANCIAL GROUP, LLC
Value ($000) $1,432 (+14.5%) Shares 5,578 (+16.5%)
THURSTON, SPRINGER, MILLER, HERD & TITAK, INC.
Value ($000) $507 (+194.0%) Shares 1,973 (+198.9%)
TimesSquare Capital Management, LLC
Value ($000) $30,996 (+22.7%) Shares 120,716 (+24.7%)
ADAGE CAPITAL PARTNERS GP, L.L.C.
Value ($000) $67,935 (+4851.2%) Shares 264,575 (+4933.8%)
LECAP ASSET MANAGEMENT LTD
Value ($000) $1,152 (+33.4%) Shares 4,487 (+35.6%)
Corient Private Wealth LLC
Value ($000) $782 (+15.3%) Shares 585,423 (+22451.0%)
MARTINGALE ASSET MANAGEMENT L P
Value ($000) $5,862 (+222.9%) Shares 22,830 (+228.3%)
Distillate Capital Partners LLC
Value ($000) $14,079 (+6.0%) Shares 54,832 (+7.8%)
MUTUAL OF AMERICA CAPITAL MANAGEMENT LLC
Value ($000) $24,762 (+35.8%) Shares 96,438 (+38.1%)
Voleon Capital Management LP
Value ($000) $4,660 (+928.3%) Shares 18,149 (+945.4%)
WESTFIELD CAPITAL MANAGEMENT CO LP
Value ($000) $73,254 (+19.5%) Shares 285,290 (+21.5%)
MOUNTAIN PACIFIC INVESTMENT ADVISERS INC/ID
Value ($000) $3,265 (+11.6%) Shares 12,715 (+13.5%)
TWO SIGMA ADVISERS, LP
Value ($000) $47,944 (+166.2%) Shares 186,720 (+170.6%)
TWO SIGMA INVESTMENTS, LP
Value ($000) $73,633 (+96.4%) Shares 286,767 (+99.7%)
Schonfeld Strategic Advisors LLC
Value ($000) $20,814 (+140.4%) Shares 81,062 (+144.4%)
Fiera Capital Corp
Value ($000) $61,540 (+30.5%) Shares 239,668 (+32.6%)
Alyeska Investment Group, L.P.
Value ($000) $133,432 (+8.5%) Shares 519,656 (+10.3%)
KENNEDY CAPITAL MANAGEMENT LLC
Value ($000) $16,398 (+11.5%) Shares 63,864 (+13.3%)
Thrivent Financial for Lutherans
Value ($000) $51 (+1600.4%) Shares 196,946 (+1628.7%)

Decreased Positions (184)

Regents Gate Capital LLP
Value ($000) $2,987 (-63.3%) Shares 11,633 (-62.7%)
GRACE & WHITE INC /NY
Value ($000) $36,372 (-3.5%) Shares 141,653 (-1.9%)
Sapience Investments, LLC
Value ($000) $507 (-12.6%) Shares 1,976 (-11.2%)
VELA Investment Management, LLC
Value ($000) $5,324 (-20.2%) Shares 20,734 (-18.8%)
PALISADE CAPITAL MANAGEMENT, LP
Value ($000) $51,316 (-11.9%) Shares 199,853 (-10.4%)
ArrowMark Colorado Holdings LLC
Value ($000) $34,516 (-32.3%) Shares 134,425 (-31.2%)
Robeco Schweiz AG
Value ($000) $38,439 (-21.4%) Shares 149,702 (-20.1%)
Lisanti Capital Growth, LLC
Value ($000) $3,943 (-15.1%) Shares 15,355 (-13.7%)
Campbell & CO Investment Adviser LLC
Value ($000) $2,861 (-45.2%) Shares 11,142 (-44.3%)
Perbak Capital Partners LLP
Value ($000) $435 (-68.6%) Shares 1,696 (-68.1%)
AlphaQuest LLC
Value ($000) $691 (-79.3%) Shares 2,693 (-78.9%)
Dynamic Technology Lab Private Ltd
Value ($000) $232 (-80.0%) Shares 904 (-79.7%)
Boston Trust Walden Corp
Value ($000) $124,292 (-5.5%) Shares 484,060 (-4.0%)
CRAMER ROSENTHAL MCGLYNN LLC
Value ($000) $11,883 (-8.1%) Shares 46,279 (-6.5%)
Granite Investment Partners, LLC
Value ($000) $403 (-83.7%) Shares 1,569 (-83.4%)
ROMANO BROTHERS AND COMPANY
Value ($000) $6,159 (-8.7%) Shares 23,985 (-7.2%)
FIDUCIARY MANAGEMENT INC /WI/
Value ($000) $55,501 (-9.1%) Shares 216,149 (-7.6%)
Trexquant Investment LP
Value ($000) $10,810 (-42.2%) Shares 42,098 (-41.3%)
Quantbot Technologies LP
Value ($000) $1,796 (-63.5%) Shares 6,995 (-62.9%)
Squarepoint Ops LLC
Value ($000) $15,027 (-78.9%) Shares 58,525 (-78.6%)

Exited Positions (57)