BYLINE BANCORP INC

Ticker: BY CUSIP: 124411109 Class: Common Stock

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

New Positions (20)

Increased Positions (65)

MALTESE CAPITAL MANAGEMENT LLC
Value ($000) $7,725 (+29.6%) Shares 265,000 (+23.3%)
DENALI ADVISORS LLC
Value ($000) $3,666 (+39.1%) Shares 125,752 (+32.3%)
Detalus Advisors, LLC
Value ($000) $5,963 (+6.2%) Shares 204,549 (+1.0%)
FIDUCIENT ADVISORS LLC
Value ($000) $2,384 (+40.3%) Shares 81,767 (+33.5%)
PRINCETON CAPITAL MANAGEMENT LLC
Value ($000) $443 (+42.7%) Shares 15,200 (+35.7%)
Campbell & CO Investment Adviser LLC
Value ($000) $787 (+62.1%) Shares 27,010 (+54.2%)
Point72 Asset Management, L.P.
Value ($000) $3,754 (+628.0%) Shares 128,772 (+592.5%)
FEDERATED HERMES, INC.
Value ($000) $16,722 (+22.7%) Shares 573,652 (+16.7%)
Mariner, LLC
Value ($000) $2,679 (+650.9%) Shares 91,887 (+614.2%)
BlackRock, Inc.
Value ($000) $95,649 (+21.2%) Shares 3,281,273 (+15.3%)
MORGAN STANLEY
Value ($000) $9,959 (+99.4%) Shares 341,643 (+89.7%)
GOLDMAN SACHS GROUP INC
Value ($000) $8,051 (+73.1%) Shares 276,181 (+64.7%)
HSBC HOLDINGS PLC
Value ($000) $2,056 (+149.4%) Shares 70,502 (+135.9%)
AMERICAN CENTURY COMPANIES INC
Value ($000) $24,503 (+10.0%) Shares 840,587 (+4.6%)
RENAISSANCE TECHNOLOGIES LLC
Value ($000) $3,253 (+35.3%) Shares 111,600 (+28.7%)
WELLS FARGO & COMPANY/MN
Value ($000) $1,954 (+193.1%) Shares 67,034 (+178.8%)
VANGUARD GROUP INC
Value ($000) $53,129 (+8.0%) Shares 1,822,619 (+2.7%)
AQR CAPITAL MANAGEMENT LLC
Value ($000) $14,719 (+10.4%) Shares 504,943 (+5.0%)
BARCLAYS PLC
Value ($000) $2,401 (+52.3%) Shares 82,366 (+39.9%)
Trexquant Investment LP
Value ($000) $1,833 (+15.8%) Shares 62,898 (+10.2%)

Decreased Positions (58)

Ararat Capital Management LP
Value ($000) $18,982 (+0.8%) Shares 651,196 (-4.1%)
Aristotle Capital Boston, LLC
Value ($000) $23,356 (-5.0%) Shares 801,227 (-9.6%)
ENDEAVOUR CAPITAL ADVISORS INC
Value ($000) $4,522 (+4.0%) Shares 155,140 (-1.1%)
BRIDGEWAY CAPITAL MANAGEMENT, LLC
Value ($000) $12,462 (-4.4%) Shares 427,525 (-9.0%)
PDT Partners, LLC
Value ($000) $866 (-11.8%) Shares 29,715 (-16.1%)
MILLENNIUM MANAGEMENT LLC
Value ($000) $4,647 (-60.0%) Shares 159,428 (-62.0%)
Aquatic Capital Management LLC
Value ($000) $120 (-73.2%) Shares 4,114 (-74.5%)
Quantbot Technologies LP
Value ($000) $358 (-40.0%) Shares 12,277 (-43.0%)
SRS Capital Advisors, Inc.
Value ($000) $0 (-100.0%) Shares 3 (-100.0%)
TWO SIGMA ADVISERS, LP
Value ($000) $799 (-56.2%) Shares 27,400 (-58.3%)
AlphaQuest LLC
Value ($000) $433 (-13.8%) Shares 14,851 (-18.0%)
TWO SIGMA INVESTMENTS, LP
Value ($000) $5,147 (-11.2%) Shares 176,553 (-15.5%)
CITADEL ADVISORS LLC
Value ($000) $1,838 (-49.7%) Shares 63,065 (-52.1%)
SEI INVESTMENTS CO
Value ($000) $3,832 (-17.2%) Shares 131,468 (-21.2%)
Boston Partners
Value ($000) $20,690 (+1.8%) Shares 706,741 (-3.6%)
UBS Group AG
Value ($000) $2,693 (-31.1%) Shares 92,400 (-34.5%)
FIRST TRUST ADVISORS LP
Value ($000) $2,470 (-24.6%) Shares 84,730 (-28.2%)
WELLINGTON MANAGEMENT GROUP LLP
Value ($000) $34,805 (+1.5%) Shares 1,193,999 (-3.4%)
T. Rowe Price Investment Management, Inc.
Value ($000) $7 (-59.7%) Shares 229,082 (-61.6%)
TUDOR INVESTMENT CORP ET AL
Value ($000) $2,896 (-10.6%) Shares 99,339 (-14.9%)

Exited Positions (18)