Engaged Capital

Glenn Welling

$392.0M Portfolio Value
9 Stocks
+4.83% YTD Return
Feb 17, 2026 Last Updated
Portfolio Value Over Time

Current Holdings for Engaged Capital

Stock Click to search
Shares Value % of Portfolio Change Est. Return
VFC|V F CORP
5.3M $95.9M
24.47%
TRIM -9.5% -0.05%
YETI|YETI HLDGS INC
2.0M $89.8M
22.90%
TRIM -6.3% +44.97%
BL|BLACKLINE INC
1.1M $59.9M
15.28%
ADD +138.8% -3.02%
GXO|GXO LOGISTICS INCORPORATED
829.8K $43.7M
11.14%
TRIM -15.2% +34.48%
CGNX|COGNEX CORP
933.0K $33.6M
8.56%
ADD +9.1% -4.19%
FRPT|FRESHPET INC
401.1K $24.4M
6.24%
TRIM -35.2% -18.76%
EVH|EVOLENT HEALTH INC
5.6M $22.3M
5.68%
TRIM -1.8% -75.46%
BRCC|BRC INC
13.9M $15.5M
3.95%
-93.54%
PTLO|PORTILLOS INC
1.5M $7.0M
1.78%
TRIM -69.7% -50.64%

Trading Activity for Engaged Capital

Stock Click to search
Action Change Shares After Value Est. Return
2025-Q4
VFC|V F CORP
SELL -9.48% 5.3M $96M -18.5%
YETI|YETI HLDGS INC
SELL -6.31% 2.0M $90M +3.9%
BL|BLACKLINE INC
BUY +138.79% 1.1M $60M
GXO|GXO LOGISTICS INCORPORATED
SELL -15.20% 829.8K $44M +26.4%
EVH|EVOLENT HEALTH INC
SELL -1.77% 5.6M $22M -71.9%
CGNX|COGNEX CORP
BUY +9.12% 933.0K $34M
FRPT|FRESHPET INC
SELL -35.21% 401.1K $24M -29.7%
PTLO|PORTILLOS INC
SELL -69.72% 1.5M $7M -57.6%
2025-Q3
VFC|V F CORP
BUY +8.21% 5.9M $85M
YETI|YETI HLDGS INC
BUY +0.33% 2.2M $72M
EVH|EVOLENT HEALTH INC
SELL -3.25% 5.7M $48M -37.5%
PTLO|PORTILLOS INC
BUY +4.91% 5.1M $33M
GXO|GXO LOGISTICS INCORPORATED
BUY +9.08% 978.5K $52M
CGNX|COGNEX CORP
BUY NEW 855.0K $39M
BL|BLACKLINE INC
BUY NEW 453.8K $24M
BRCC|BRC INC
BUY +2.96% 13.9M $22M
2025-Q2
VFC|V F CORP
SELL -1.22% 5.4M $64M -37.0%
YETI|YETI HLDGS INC
BUY +40.10% 2.2M $68M
EVH|EVOLENT HEALTH INC
BUY +13.03% 5.9M $66M
PTLO|PORTILLOS INC
SELL -11.82% 4.8M $56M -2.7%
GTLS|CHART INDS INC
SELL EXIT -17.1%
GXO|GXO LOGISTICS INCORPORATED
SELL -1.64% 897.0K $44M -1.9%
FRPT|FRESHPET INC
BUY NEW 619.1K $42M
NATL|NCR ATLEOS CORPORATION
SELL EXIT +14.8%
VYX|NCR VOYIX CORPORATION
SELL EXIT
2025-Q1
VFC|V F CORP
BUY +2.68% 5.5M $85M
VYX|NCR VOYIX CORPORATION
SELL -92.52% 431.7K $4M
NATL|NCR ATLEOS CORPORATION
SELL -64.90% 774.3K $20M +28.7%
PTLO|PORTILLOS INC
SELL -10.39% 5.5M $65M +13.1%
EVH|EVOLENT HEALTH INC
SELL -4.17% 5.2M $49M -36.3%
GTLS|CHART INDS INC
BUY +64.15% 369.0K $53M
YETI|YETI HLDGS INC
BUY NEW 1.5M $51M
GXO|GXO LOGISTICS INCORPORATED
BUY NEW 912.0K $36M
PRAA|PRA GROUP INC
SELL EXIT +15.5%
2024-Q4
EVH|EVOLENT HEALTH INC
BUY +35.48% 5.4M $61M
VYX|NCR VOYIX CORPORATION
SELL -19.52% 5.8M $80M
NATL|NCR ATLEOS CORPORATION
SELL -26.67% 2.2M $75M +24.1%
GTLS|CHART INDS INC
BUY NEW 224.8K $43M
PRAA|PRA GROUP INC
SELL -63.61% 619.9K $13M +16.6%
BL|BLACKLINE INC
SELL EXIT +21.6%
NVROEUR|NEVRO CORP
SELL EXIT
2024-Q3
EVH|EVOLENT HEALTH INC
SELL -2.97% 4.0M $113M +66.6%
VYX|NCR VOYIX CORPORATION
BUY +14.08% 7.2M $97M
NATL|NCR ATLEOS CORPORATION
BUY +19.89% 3.0M $86M
PTLO|PORTILLOS INC
BUY +121.52% 6.1M $82M
BRCC|BRC INC
BUY +5.33% 13.5M $46M
ENVUSD|ENVESTNET INC
SELL EXIT
UPBD|UPBOUND GROUP INC
SELL EXIT
BL|BLACKLINE INC
BUY NEW 609.7K $34M
SMARGBP|SMARTSHEET INC
SELL EXIT
SHAK|SHAKE SHACK INC
SELL EXIT +75.5%
NVROEUR|NEVRO CORP
BUY +29.53% 2.4M $14M
2024-Q2
EVH|EVOLENT HEALTH INC
BUY +26.06% 4.1M $79M
SHAK|SHAKE SHACK INC
SELL -65.55% 266.9K $24M +71.8%
VYX|NCR VOYIX CORPORATION
BUY +7.71% 6.3M $78M
UPBD|UPBOUND GROUP INC
SELL -29.94% 1.2M $36M
PRAA|PRA GROUP INC
SELL -8.08% 1.7M $33M +29.8%
ENVUSD|ENVESTNET INC
BUY +479.80% 692.5K $43M
SMARGBP|SMARTSHEET INC
BUY NEW 671.5K $30M
PTLO|PORTILLOS INC
BUY +38.72% 2.8M $27M
2024-Q1
SHAK|SHAKE SHACK INC
SELL -43.33% 774.8K $81M +41.9%
VYX|NCR VOYIX CORPORATION
BUY +16.29% 5.8M $74M
UPBD|UPBOUND GROUP INC
SELL -30.51% 1.7M $59M
PRAA|PRA GROUP INC
SELL -7.83% 1.9M $48M +34.2%
NVROEUR|NEVRO CORP
SELL -13.02% 1.9M $27M
PTLO|PORTILLOS INC
BUY NEW 2.0M $28M
ENVUSD|ENVESTNET INC
BUY NEW 119.4K $7M
2023-Q4
UPBD|UPBOUND GROUP INC
SELL -34.64% 2.4M $81M
EVH|EVOLENT HEALTH INC
BUY +15.13% 3.3M $108M
VFC|V F CORP
BUY +2.79% 5.3M $100M
NATL|NCR ATLEOS CORPORATION
BUY NEW 2.5M $61M
PRAA|PRA GROUP INC
BUY NEW 2.0M $53M
NVROEUR|NEVRO CORP
BUY NEW 2.2M $47M
BRCC|BRC INC
BUY +3.21% 12.9M $47M
BCBEUR|PRIMO WATER CORPORATION
SELL EXIT
2023-Q3
SHAK|SHAKE SHACK INC
SELL -26.73% 1.4M $79M +30.1%
VYX|NCR CORP NEW
SELL -4.45% 5.0M $135M
NEWREUR|NEW RELIC INC
SELL EXIT
UPBD|UPBOUND GROUP INC
SELL -4.94% 3.7M $108M
VFC|V F CORP
BUY NEW 5.2M $92M
EVH|EVOLENT HEALTH INC
BUY +62.13% 2.8M $77M
BRCC|BRC INC
SELL -6.74% 12.5M $45M -72.5%
QUOTUSD|QUOTIENT TECHNOLOGY INC
SELL EXIT
KTOS|KRATOS DEFENSE & SEC SOLUTIO
SELL EXIT +8.9%
BCBEUR|PRIMO WATER CORPORATION
BUY NEW 878.8K $12M
2023-Q2
SHAK|SHAKE SHACK INC
BUY +8.62% 1.9M $145M
EVH|EVOLENT HEALTH INC
SELL -21.06% 1.7M $53M +140.8%
STKL|SUNOPTA INC
SELL EXIT
QUOTUSD|QUOTIENT TECHNOLOGY INC
SELL -7.42% 7.5M $29M
FRPT|FRESHPET INC
SELL EXIT +5.3%
KTOS|KRATOS DEFENSE & SEC SOLUTIO
BUY NEW 855.2K $12M
IWM|ISHARES TR
SELL EXIT -3.3%
2023-Q1
NEWREUR|NEW RELIC INC
SELL -23.32% 2.0M $151M
SHAK|SHAKE SHACK INC
BUY NEW 1.7M $95M
UPBD|UPBOUND GROUP INC
BUY +7.04% 3.9M $95M
EVH|EVOLENT HEALTH INC
SELL -20.55% 2.2M $72M +136.1%
STKL|SUNOPTA INC
BUY +452.49% 5.9M $46M
BRBR|BELLRING BRANDS INC
SELL EXIT +22.1%
FRPT|FRESHPET INC
BUY NEW 306.7K $20M
IWM|ISHARES TR
BUY +58.51% 29.8K $5M
2022-Q4
NEWREUR|NEW RELIC INC
BUY +7.30% 2.6M $147M
VYX|NCR CORP NEW
BUY +17.97% 5.3M $123M
BRCC|BRC INC
BUY +0.75% 13.4M $82M
UPBD|RENT A CTR INC NEW
BUY +40.54% 3.6M $81M
EVH|EVOLENT HEALTH INC
BUY +24.27% 2.8M $78M
BRBR|BELLRING BRANDS INC
BUY NEW 1.6M $40M
QUOTUSD|QUOTIENT TECHNOLOGY INC
BUY +32.75% 8.1M $28M
STKL|SUNOPTA INC
SELL -46.25% 1.1M $9M
FRPT|FRESHPET INC
SELL EXIT +24.6%
IWM|ISHARES TR
SELL -53.92% 18.8K $3M -2.0%
2022-Q3
EVH|EVOLENT HEALTH INC
SELL -63.57% 2.2M $81M +183.5%
BRCC|BRC INC
BUY +19.11% 13.3M $102M
STKL|SUNOPTA INC
SELL -67.30% 2.0M $18M
UPBD|RENT A CTR INC NEW
BUY +8.86% 2.6M $45M
FRPT|FRESHPET INC
BUY NEW 295.3K $15M
IWM|ISHARES TR
BUY NEW 40.8K $7M
2022-Q2
BRCC|BRC INC
SELL -30.58% 11.1M $91M -37.4%
EVH|EVOLENT HEALTH INC
SELL -13.88% 6.2M $189M +134.5%
NEWREUR|NEW RELIC INC
BUY +305.06% 2.4M $122M
STKL|SUNOPTA INC
SELL -14.59% 6.1M $47M
HAIN|HAIN CELESTIAL GROUP INC
SELL EXIT
2022-Q1
BRCC|BRC INC
BUY NEW 16.0M $334M
EVH|EVOLENT HEALTH INC
SELL -8.73% 7.1M $231M +97.8%
VYX|NCR CORP NEW
BUY +85.36% 4.5M $179M
NEWREUR|NEW RELIC INC
SELL -62.40% 600.0K $40M
HAIN|HAIN CELESTIAL GROUP INC
SELL -34.05% 1.2M $42M
STKL|SUNOPTA INC
SELL -27.44% 7.1M $36M
SBEA|SILVERBOX ENGAGED MERGER CO
SELL EXIT
SILVERBOX ENGAGED MERGER CO
SELL EXIT
2021-Q4
HAIN|HAIN CELESTIAL GROUP INC
SELL -88.33% 1.9M $80M
EVH|EVOLENT HEALTH INC
SELL -0.80% 7.8M $217M +129.7%
NEWREUR|NEW RELIC INC
SELL -0.26% 1.6M $175M
VYX|NCR CORP NEW
BUY +42.01% 2.4M $97M
GIL|GILDAN ACTIVEWEAR INC
SELL EXIT +65.1%
QUOTUSD|QUOTIENT TECHNOLOGY INC
BUY +929.33% 6.1M $45M
SBEA|SILVERBOX ENGAGED MERGER CO
BUY NEW 1.4M $15M
IWM|ISHARES TR
SELL EXIT +31.0%
SILVERBOX ENGAGED MERGER CO
BUY NEW 1.8M $2M
2021-Q3
EVH|EVOLENT HEALTH INC
SELL -7.72% 7.9M $245M +91.8%
NEWREUR|NEW RELIC INC
BUY +35.95% 1.6M $115M
VYX|NCR CORP NEW
BUY +24.54% 1.7M $66M
QUOTUSD|QUOTIENT TECHNOLOGY INC
SELL -63.90% 593.3K $3M
IWM|ISHARES TR
SELL -60.93% 13.4K $3M +29.8%
2021-Q2
UPBD|RENT A CTR INC NEW
SELL -19.29% 2.4M $125M
VYX|NCR CORP NEW
SELL -42.36% 1.4M $62M
NEWREUR|NEW RELIC INC
BUY NEW 1.2M $79M
QUOTUSD|QUOTIENT TECHNOLOGY INC
SELL -13.70% 1.6M $18M
CORE|CORE MARK HOLDING CO INC
SELL EXIT
IWM|ISHARES TR
BUY +178.86% 34.3K $8M
2021-Q1
VYX|NCR CORP NEW
BUY +10.36% 2.4M $89M
QUOTUSD|QUOTIENT TECHNOLOGY INC
SELL -55.14% 1.9M $31M
MGLNUSD|MAGELLAN HEALTH INC
SELL EXIT
CORE|CORE MARK HOLDING CO INC
BUY NEW 793.6K $31M
IWM|ISHARES TR
SELL -74.80% 12.3K $3M +48.7%
2020-Q4
STKL|SUNOPTA INC
BUY +0.05% 9.8M $115M
VYX|NCR CORP NEW
BUY +2.39% 2.1M $80M
MED|MEDIFAST INC
SELL EXIT +67.0%
GIL|GILDAN ACTIVEWEAR INC
BUY NEW 1.5M $43M
QUOTUSD|QUOTIENT TECHNOLOGY INC
BUY NEW 4.2M $40M
MGLNUSD|MAGELLAN HEALTH INC
BUY +106.73% 405.4K $34M
JACK|JACK IN THE BOX INC
SELL EXIT +33.6%
MX|MAGNACHIP SEMICONDUCTOR CORP
SELL EXIT +15.1%
IWM|ISHARES TR
BUY +13.49% 48.8K $10M
2020-Q3
MED|MEDIFAST INC
SELL -76.94% 267.5K $44M +62.3%
UPBD|RENT A CTR INC NEW
SELL -45.28% 2.9M $87M
EVH|EVOLENT HEALTH INC
BUY NEW 8.6M $106M
STKL|SUNOPTA INC
BUY +0.95% 9.8M $73M
VYX|NCR CORP NEW
BUY +153.00% 2.1M $46M
MX|MAGNACHIP SEMICONDUCTOR CORP
BUY NEW 910.9K $12M
SMPL|SIMPLY GOOD FOODS CO
SELL EXIT +34.0%
IWM|ISHARES TR
BUY +168.75% 43.0K $6M
INWKEUR|INNERWORKINGS INC
SELL EXIT
2020-Q2
HAIN|HAIN CELESTIAL GROUP INC
SELL -24.07% 16.0M $504M
STKL|SUNOPTA INC
BUY +11.45% 9.7M $46M
JACK|JACK IN THE BOX INC
BUY NEW 353.4K $26M
APOG|APOGEE ENTERPRISES INC
SELL EXIT -53.3%
TIVOEUR|TIVO CORP
SELL EXIT
MGLNUSD|MAGELLAN HEALTH INC
BUY NEW 196.1K $14M
VYX|NCR CORP NEW
BUY +29.19% 824.3K $14M
SMPL|SIMPLY GOOD FOODS CO
BUY NEW 458.6K $9M
IWM|ISHARES TR
BUY NEW 16.0K $2M
2020-Q1
APOG|APOGEE ENTERPRISES INC
SELL -36.46% 984.8K $21M -23.0%
VYX|NCR CORP NEW
SELL -17.46% 638.0K $11M
INWKEUR|INNERWORKINGS INC
SELL +0.00% 2.6M $3M
2019-Q4
MED|MEDIFAST INC
BUY +126.40% 1.2M $127M
APOG|APOGEE ENTERPRISES INC
SELL -8.25% 1.5M $50M -11.2%
VYX|NCR CORP NEW
SELL -28.19% 773.0K $27M
INWKEUR|INNERWORKINGS INC
SELL -0.35% 2.6M $14M
2019-Q3
MED|MEDIFAST INC
BUY NEW 512.5K $53M
MGLNUSD|MAGELLAN HEALTH INC
SELL EXIT
DFRG|DEL FRISCOS RESTAURANT GROUP
SELL EXIT
2019-Q2
HAIN|HAIN CELESTIAL GROUP INC
BUY +24.95% 21.1M $461M
MGLNUSD|MAGELLAN HEALTH INC
BUY +66.73% 379.4K $28M
BHE|BENCHMARK ELECTRS INC
SELL EXIT
PETXEUR|ARATANA THERAPEUTICS INC
SELL EXIT
MED|MEDIFAST INC
SELL EXIT +8.5%
2019-Q1
HAIN|HAIN CELESTIAL GROUP INC
BUY +43.36% 16.9M $390M
BHE|BENCHMARK ELECTRS INC
SELL -84.63% 343.9K $9M
STKL|SUNOPTA INC
BUY +27.34% 8.7M $30M
PETXEUR|ARATANA THERAPEUTICS INC
SELL -30.68% 2.4M $9M
MGLNUSD|MAGELLAN HEALTH INC
SELL -11.03% 227.6K $15M
ANIK|ANIKA THERAPEUTICS INC
SELL EXIT -18.9%
GRPN|GROUPON INC
SELL EXIT -22.7%
ASTE|ASTEC INDS INC
SELL EXIT -25.4%
BW|BABCOCK & WILCOX ENTERPRIS I
SELL EXIT
MED|MEDIFAST INC
BUY NEW 11.2K $1M
2018-Q4
UPBD|RENT A CTR INC NEW
BUY +17.65% 5.3M $86M
APOG|APOGEE ENTERPRISES INC
BUY +13.30% 1.7M $50M
BHE|BENCHMARK ELECTRS INC
SELL -1.41% 2.2M $47M
VYX|NCR CORP NEW
SELL -0.24% 1.1M $25M
DFRG|DEL FRISCOS RESTAURANT GROUP
BUY NEW 3.3M $24M
PETXEUR|ARATANA THERAPEUTICS INC
SELL -14.22% 3.5M $21M
ANIK|ANIKA THERAPEUTICS INC
SELL -3.10% 374.9K $13M -15.5%
CLS|CELESTICA INC
SELL EXIT
MGLNUSD|MAGELLAN HEALTH INC
BUY NEW 255.8K $15M
INWKEUR|INNERWORKINGS INC
BUY +51.49% 2.6M $10M
GRPN|GROUPON INC
SELL -2.80% 2.4M $8M -30.6%
UEIC|UNIVERSAL ELECTRS INC
SELL EXIT +6.7%
PBYI|PUMA BIOTECHNOLOGY INC
SELL EXIT -50.4%
BW|BABCOCK & WILCOX ENTERPRIS I
SELL -16.24% 3.8M $1M
2018-Q3
UPBD|RENT A CTR INC NEW
SELL -49.53% 4.5M $65M
BHE|BENCHMARK ELECTRS INC
BUY +65.98% 2.3M $53M
VYX|NCR CORP NEW
BUY +203.28% 1.1M $31M
JMBA|JAMBA INC
SELL EXIT
PETXEUR|ARATANA THERAPEUTICS INC
BUY +69.38% 4.1M $24M
CLS|CELESTICA INC
SELL -12.57% 1.4M $16M
ANIK|ANIKA THERAPEUTICS INC
BUY +47.37% 386.9K $16M
INWKEUR|INNERWORKINGS INC
BUY NEW 1.7M $14M
BW|BABCOCK & WILCOX ENTERPRIS I
SELL -6.66% 4.5M $5M
GRPN|GROUPON INC
BUY +189.81% 2.5M $9M
UEIC|UNIVERSAL ELECTRS INC
SELL -23.79% 191.8K $8M +28.0%
PBYI|PUMA BIOTECHNOLOGY INC
BUY NEW 151.7K $7M
CASY|CASEYS GEN STORES INC
SELL EXIT +12.7%
ASTE|ASTEC INDS INC
BUY NEW 73.6K $4M
XXY|CROSS CTRY HEALTHCARE INC
SELL EXIT
2018-Q2
APOG|APOGEE ENTERPRISES INC
BUY +294.28% 1.5M $72M
STKL|SUNOPTA INC
BUY +1.48% 6.9M $58M
FNSR|FINISAR CORP
SELL EXIT
BHE|BENCHMARK ELECTRS INC
BUY +25.09% 1.4M $40M
BW|BABCOCK & WILCOX ENTERPRIS I
BUY +255.48% 4.8M $11M
MX|MAGNACHIP SEMICONDUCTOR CORP
SELL EXIT
VYX|NCR CORP NEW
BUY +47.54% 355.8K $11M
PETXEUR|ARATANA THERAPEUTICS INC
BUY +20.00% 2.4M $10M
ANIK|ANIKA THERAPEUTICS INC
BUY NEW 262.5K $8M
UEIC|UNIVERSAL ELECTRS INC
BUY NEW 251.7K $8M
XXY|CROSS CTRY HEALTHCARE INC
SELL -57.76% 207.7K $2M
CASY|CASEYS GEN STORES INC
BUY NEW 36.7K $4M
GRPN|GROUPON INC
BUY NEW 868.1K $4M
IWM|ISHARES TR
SELL EXIT
2018-Q1
HAIN|HAIN CELESTIAL GROUP INC
BUY +13.59% 11.8M $377M
FNSR|FINISAR CORP
BUY NEW 2.5M $40M
BHE|BENCHMARK ELECTRS INC
BUY +14.85% 1.1M $33M
CLS|CELESTICA INC
SELL -9.16% 1.7M $17M
MED|MEDIFAST INC
SELL EXIT
APOG|APOGEE ENTERPRISES INC
BUY NEW 378.2K $17M
MX|MAGNACHIP SEMICONDUCTOR CORP
SELL -20.25% 1.2M $11M
VYX|NCR CORP NEW
SELL -31.39% 241.2K $8M
BW|BABCOCK & WILCOX ENTERPRIS I
SELL -31.06% 1.4M $6M
PETXEUR|ARATANA THERAPEUTICS INC
BUY NEW 2.0M $9M
IMAX|IMAX CORP
SELL EXIT
IWM|ISHARES TR
SELL -16.67% 21.0K $3M

Closed Positions for Engaged Capital

Stock Click to search
Held Period Cost Basis Sale Proceeds Realized Gain Return CAGR
NATL|NCR ATLEOS CORPORATION
2023-Q4 → 2025-Q2 (1.5y) $71.2M $88.3M $+17.0M +23.9% +15.4%
GTLS|CHART INDS INC
2024-Q4 → 2025-Q2 (0.5y) $65.8M $54.6M $-11.2M -17.1% -31.3%
PRAA|PRA GROUP INC
2023-Q4 → 2025-Q1 (1.2y) $36.7M $43.5M $+6.8M +18.6% +14.7%
BL|BLACKLINE INC
2024-Q3 → 2024-Q4 (0.2y) $29.8M $36.2M $+6.4M +21.6% +21.6%
SHAK|SHAKE SHACK INC
2023-Q1 → 2024-Q3 (1.5y) $105.6M $160.2M $+54.6M +51.6% +32.1%
KTOS|KRATOS DEFENSE & SEC SOLUTIO
2023-Q2 → 2023-Q3 (0.2y) $11.6M $12.6M $+1.0M +8.9% +8.9%
FRPT|FRESHPET INC
2022-Q3 → 2023-Q2 (0.2y) $19.1M $20.1M $+1.0M +5.3% +5.3%
IWM|ISHARES TR
2020-Q2 → 2023-Q2 (0.7y) $9.5M $9.2M $-283.6K -3.0% -4.0%
BRBR|BELLRING BRANDS INC
2022-Q4 → 2023-Q1 (0.2y) $38.4M $46.9M $+8.5M +22.1% +22.1%
GIL|GILDAN ACTIVEWEAR INC
2020-Q4 → 2021-Q4 (1.0y) $37.5M $62.0M $+24.4M +65.1% +65.4%
MED|MEDIFAST INC
2019-Q1 → 2020-Q4 (1.2y) $118.1M $193.0M $+74.9M +63.4% +48.3%
JACK|JACK IN THE BOX INC
2020-Q2 → 2020-Q4 (0.5y) $23.1M $30.9M $+7.8M +33.6% +78.8%
MX|MAGNACHIP SEMICONDUCTOR CORP
2020-Q3 → 2020-Q4 (0.2y) $11.0M $12.6M $+1.7M +15.1% +15.1%
SMPL|SIMPLY GOOD FOODS CO
2020-Q2 → 2020-Q3 (0.2y) $8.1M $10.9M $+2.8M +34.0% +34.0%
APOG|APOGEE ENTERPRISES INC
2018-Q1 → 2020-Q2 (2.2y) $71.7M $43.2M $-28.4M -39.7% -20.2%
GRPN|GROUPON INC
2018-Q2 → 2019-Q1 (0.7y) $227.9M $175.6M $-52.3M -22.9% -29.4%
ANIK|ANIKA THERAPEUTICS INC
2018-Q2 → 2019-Q1 (0.7y) $16.3M $13.2M $-3.1M -18.8% -24.4%
ASTE|ASTEC INDS INC
2018-Q3 → 2019-Q1 (0.5y) $3.7M $2.7M $-929.6K -25.4% -44.5%
UEIC|UNIVERSAL ELECTRS INC
2018-Q2 → 2018-Q4 (0.5y) $7.9M $8.8M $+925.7K +11.8% +25.0%
PBYI|PUMA BIOTECHNOLOGY INC
2018-Q3 → 2018-Q4 (0.2y) $7.2M $3.6M $-3.6M -50.4% -50.4%
CASY|CASEYS GEN STORES INC
2018-Q2 → 2018-Q3 (0.2y) $3.7M $4.1M $+466.3K +12.7% +12.7%