METROPOLITAN BK HLDG CORP

Ticker: MCB CUSIP: 591774104 Class: Common Stock

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

New Positions (16)

Increased Positions (43)

Sippican Capital Advisors
Value ($000) $2,145 (+5.9%) Shares 28,097 (+3.7%)
ADAGE CAPITAL PARTNERS GP, L.L.C.
Value ($000) $42,722 (+119.3%) Shares 559,479 (+114.8%)
WELLINGTON MANAGEMENT GROUP LLP
Value ($000) $45,266 (+70.0%) Shares 592,799 (+66.6%)
TUDOR INVESTMENT CORP ET AL
Value ($000) $4,718 (+116.0%) Shares 61,788 (+111.6%)
PANAGORA ASSET MANAGEMENT INC
Value ($000) $1,635 (+491.0%) Shares 21,416 (+479.1%)
TWO SIGMA INVESTMENTS, LP
Value ($000) $3,047 (+478.3%) Shares 39,905 (+466.6%)
STATE OF WISCONSIN INVESTMENT BOARD
Value ($000) $6,458 (+30.1%) Shares 84,572 (+27.5%)
UBS Group AG
Value ($000) $4,951 (+373.0%) Shares 64,832 (+363.5%)
Bank of New York Mellon Corp
Value ($000) $15,437 (+33.3%) Shares 202,158 (+30.6%)
DIMENSIONAL FUND ADVISORS LP
Value ($000) $32,616 (+7.9%) Shares 427,129 (+5.7%)
Y-Intercept (Hong Kong) Ltd
Value ($000) $530 (+49.1%) Shares 6,936 (+46.1%)
Squarepoint Ops LLC
Value ($000) $2,318 (+79.1%) Shares 30,353 (+75.5%)
STATE STREET CORP
Value ($000) $26,486 (+8.6%) Shares 346,858 (+6.4%)
Brevan Howard Capital Management LP
Value ($000) $668 (+98.8%) Shares 8,744 (+94.7%)
CITADEL ADVISORS LLC
Value ($000) $6,292 (+27.6%) Shares 82,404 (+25.1%)
MILLENNIUM MANAGEMENT LLC
Value ($000) $4,570 (+28.7%) Shares 59,842 (+26.1%)
GOLDMAN SACHS GROUP INC
Value ($000) $6,277 (+18.6%) Shares 82,204 (+16.2%)
PRINCIPAL FINANCIAL GROUP INC
Value ($000) $1,340 (+50.3%) Shares 17,542 (+47.2%)
GEODE CAPITAL MANAGEMENT, LLC
Value ($000) $18,523 (+4.3%) Shares 242,563 (+2.2%)
BNP PARIBAS ARBITRAGE, SA
Value ($000) $1,636 (+29.5%) Shares 21,419 (+26.9%)

Decreased Positions (60)

SALZHAUER MICHAEL
Value ($000) $1,829 (-39.6%) Shares 23,955 (-40.8%)
BANC FUNDS CO LLC
Value ($000) $9,837 (-10.4%) Shares 128,821 (-12.2%)
Ranger Investment Management, L.P.
Value ($000) $8,033 (-29.1%) Shares 105,195 (-30.6%)
Pacific Ridge Capital Partners, LLC
Value ($000) $10,035 (+0.2%) Shares 131,418 (-1.8%)
ROYCE & ASSOCIATES LP
Value ($000) $2,003 (-84.1%) Shares 26,235 (-84.5%)
AlphaQuest LLC
Value ($000) $414 (-36.0%) Shares 5,418 (-37.3%)
Trexquant Investment LP
Value ($000) $2,864 (-21.1%) Shares 37,510 (-22.7%)
Aquatic Capital Management LLC
Value ($000) $239 (-61.7%) Shares 3,134 (-62.5%)
FMR LLC
Value ($000) $30,655 (-42.7%) Shares 401,460 (-43.9%)
EMERALD MUTUAL FUND ADVISERS TRUST
Value ($000) $2,243 (-3.5%) Shares 29,370 (-5.5%)
Russell Investments Group, Ltd.
Value ($000) $9,474 (-15.6%) Shares 124,069 (-17.3%)
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP
Value ($000) $711 (-76.0%) Shares 9,310 (-76.4%)
BRIDGEWAY CAPITAL MANAGEMENT, LLC
Value ($000) $5,173 (-1.0%) Shares 67,751 (-3.0%)
Quantbot Technologies LP
Value ($000) $413 (-27.9%) Shares 5,411 (-29.3%)
JANE STREET GROUP, LLC
Value ($000) $1,231 (-71.2%) Shares 16,124 (-71.8%)
Nuveen, LLC
Value ($000) $9,689 (-18.1%) Shares 126,881 (-19.8%)
Invesco Ltd.
Value ($000) $1,782 (-58.4%) Shares 23,335 (-59.2%)
Knights of Columbus Asset Advisors LLC
Value ($000) $2,175 (-1.0%) Shares 28,488 (-3.0%)
Quadrature Capital Ltd
Value ($000) $468 (-33.9%) Shares 6,124 (-35.3%)
JPMORGAN CHASE & CO
Value ($000) $12,113 (-9.2%) Shares 158,632 (-11.1%)

Exited Positions (17)