PORCH GROUP INC

Ticker: PRCH CUSIP: 733245104 Class: Common Stock

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

New Positions (29)

Increased Positions (67)

Park West Asset Management LLC
Value ($000) $46,107 (+25.9%) Shares 5,050,000 (+131.3%)
Granahan Investment Management, LLC
Value ($000) $105,821 (-34.6%) Shares 11,590,428 (+20.3%)
Portolan Capital Management, LLC
Value ($000) $19,018 (-26.1%) Shares 2,083,055 (+35.8%)
Zweig-DiMenna Associates LLC
Value ($000) $12,136 (-25.5%) Shares 1,329,200 (+36.9%)
GILDER GAGNON HOWE & CO LLC
Value ($000) $39,692 (-36.6%) Shares 4,347,373 (+16.6%)
MOODY NATIONAL BANK TRUST DIVISION
Value ($000) $5,422 (-41.2%) Shares 593,830 (+8.0%)
HARBOR CAPITAL ADVISORS, INC.
Value ($000) $4 (-8.1%) Shares 388,299 (+68.9%)
Round Rock Advisors, LLC
Value ($000) $948 (+62.2%) Shares 60,603 (+69.3%)
THOMPSON SIEGEL & WALMSLEY LLC
Value ($000) $6 (+150.8%) Shares 644,663 (+360.9%)
Covestor Ltd
Value ($000) $0 (+23.9%) Shares 36,923 (+127.2%)
Progeny 3, Inc.
Value ($000) $1,177 (-16.2%) Shares 128,910 (+54.0%)
GSA CAPITAL PARTNERS LLP
Value ($000) $1 (+328.6%) Shares 78,808 (+685.0%)
FOX RUN MANAGEMENT, L.L.C.
Value ($000) $235 (+5.1%) Shares 25,700 (+93.1%)
TWO SIGMA INVESTMENTS, LP
Value ($000) $9,717 (+3.7%) Shares 1,064,281 (+90.5%)
CITIZENS FINANCIAL GROUP INC/RI
Value ($000) $1,936 (-19.3%) Shares 212,068 (+48.2%)
D. E. Shaw & Co., Inc.
Value ($000) $25,284 (-32.5%) Shares 2,769,289 (+24.0%)
PANAGORA ASSET MANAGEMENT INC
Value ($000) $3,297 (-18.9%) Shares 361,132 (+49.1%)
DIMENSIONAL FUND ADVISORS LP
Value ($000) $9,899 (+98.1%) Shares 1,084,265 (+264.2%)
Voleon Capital Management LP
Value ($000) $517 (-0.1%) Shares 56,615 (+83.5%)
WELLS FARGO & COMPANY/MN
Value ($000) $5,547 (+183.1%) Shares 607,588 (+420.4%)

Decreased Positions (55)

G2 Investment Partners Management LLC
Value ($000) $8,208 (-58.7%) Shares 899,000 (-24.1%)
ASHFORD CAPITAL MANAGEMENT INC
Value ($000) $3,695 (-58.3%) Shares 404,670 (-23.4%)
Olympiad Research LP
Value ($000) $92 (-74.0%) Shares 10,111 (-52.1%)
HENNESSY ADVISORS INC
Value ($000) $13,207 (-48.9%) Shares 1,446,500 (-6.1%)
ALGERT GLOBAL LLC
Value ($000) $1 (-92.2%) Shares 109,210 (-85.6%)
DRIEHAUS CAPITAL MANAGEMENT LLC
Value ($000) $22,544 (-49.8%) Shares 2,469,216 (-7.8%)
Trexquant Investment LP
Value ($000) $2,551 (-64.8%) Shares 279,391 (-35.3%)
NATIXIS
Value ($000) $667 (-88.2%) Shares 73,100 (-78.3%)
POLEN CAPITAL MANAGEMENT LLC
Value ($000) $490 (-86.6%) Shares 53,683 (-75.3%)
Invesco Ltd.
Value ($000) $22,622 (-64.5%) Shares 2,477,795 (-34.7%)
Y-Intercept (Hong Kong) Ltd
Value ($000) $312 (-72.0%) Shares 34,149 (-48.6%)
Nuveen, LLC
Value ($000) $1,688 (-89.2%) Shares 184,934 (-80.2%)
Calamos Advisors LLC
Value ($000) $292 (-88.1%) Shares 31,978 (-78.1%)
Russell Investments Group, Ltd.
Value ($000) $1,982 (-75.0%) Shares 217,111 (-54.0%)
GOLDMAN SACHS GROUP INC
Value ($000) $5,444 (-79.1%) Shares 596,302 (-61.6%)
PRELUDE CAPITAL MANAGEMENT, LLC
Value ($000) $109 (-69.4%) Shares 11,911 (-43.7%)
BANK OF MONTREAL /CAN/
Value ($000) $2,880 (-72.4%) Shares 315,477 (-49.3%)
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND
Value ($000) $1,078 (-72.6%) Shares 118,045 (-49.6%)
CITADEL ADVISORS LLC
Value ($000) $2,844 (-72.7%) Shares 311,507 (-49.9%)
MILLENNIUM MANAGEMENT LLC
Value ($000) $93 (-97.4%) Shares 10,231 (-95.2%)

Exited Positions (35)