0000909012-20-000149.txt : 20201113
0000909012-20-000149.hdr.sgml : 20201113
20201113110511
ACCESSION NUMBER: 0000909012-20-000149
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20200930
FILED AS OF DATE: 20201113
DATE AS OF CHANGE: 20201113
EFFECTIVENESS DATE: 20201113
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: IRONWOOD INVESTMENT MANAGEMENT LLC
CENTRAL INDEX KEY: 0001127761
IRS NUMBER: 043386084
STATE OF INCORPORATION: DE
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-06155
FILM NUMBER: 201309850
BUSINESS ADDRESS:
STREET 1: 67 BATTERYMARCH STREET,
STREET 2: 3RD FLOOR
CITY: BOSTON
STATE: MA
ZIP: 02110
BUSINESS PHONE: 6177577630
MAIL ADDRESS:
STREET 1: 67 BATTERYMARCH STREET,
STREET 2: 3RD FLOOR
CITY: BOSTON
STATE: MA
ZIP: 02110
FORMER COMPANY:
FORMER CONFORMED NAME: IRONWOOD CAPITAL MANAGEMENT LLC
DATE OF NAME CHANGE: 20001103
13F-HR
1
primary_doc.xml
13F-HR
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false
false
false
0001127761
XXXXXXXX
09-30-2020
09-30-2020
IRONWOOD INVESTMENT MANAGEMENT LLC
67 BATTERYMARCH STREET,
3RD FLOOR
BOSTON
MA
02110
13F HOLDINGS REPORT
028-06155
N
Shantelle Reidy
Chief Compliance Officer
617 757 7630
/s/ SHANTELLE REIDY
Boston
MA
11-12-2020
0
160
139877
false
INFORMATION TABLE
2
aci_13f.xml
2U Inc.
COM
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480
14169
SH
SOLE
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14169
0
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A E S Corp
COM
00130H105
429
23662
SH
SOLE
0
23662
0
0
ACI Worldwide, Inc
COM
004498101
957
36633
SH
SOLE
0
36633
0
0
Acco Brands Corp
COM
00081T108
179
30793
SH
SOLE
0
30793
0
0
Air Prods & Chems Inc
COM
009158106
780
2619
SH
SOLE
0
2619
0
0
Align Technology
COM
016255101
312
952
SH
SOLE
0
952
0
0
Amag Pharma Inc
COM
00163U106
297
31582
SH
SOLE
0
31582
0
0
Amtech Systems, Inc.
COM
032332504
154
31475
SH
SOLE
0
31475
0
0
Apple Computer
COM
037833100
213
1836
SH
SOLE
0
1836
0
0
Arrow Electronics
COM
042735100
2003
25458
SH
SOLE
0
25458
0
0
Artisan Partners Asset MGMT
COM
04316a108
596
15282
SH
SOLE
0
15282
0
0
Aurinia Pharmaceuticals
COM
05156v102
2145
145600
SH
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145600
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Auto Data Processing
COM
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5658
SH
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0
5658
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Avaya Holdings Corp
COM
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12217
SH
SOLE
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12217
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Banc of California, Inc
COM
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40179
SH
SOLE
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40179
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Bancorpsouth Bank
COM
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17666
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17666
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Bank Of America Corp
COM
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SH
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0
9908
0
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Barnes Group Inc
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067806109
1191
33312
SH
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0
33312
0
0
Barrett Business Services Inc.
COM
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40954
SH
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40954
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Barrick Gold Corp
COM
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624
22205
SH
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22205
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Beacon Roofing Supply
COM
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30604
SH
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30604
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Belden Inc
COM
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511
16435
SH
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16435
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Berkshire Hills Bancorp
COM
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174
17217
SH
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17217
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Boston Private Finl Hldg
COM
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30151
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30151
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Braemar Hotels Resorts
COM
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291062
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291062
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BridgeBio Pharma Inc.
COM
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26288
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Bristol-Myers Squibb Co
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569
9439
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9439
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Bryn Mawr Bank Corporation
COM
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383
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15410
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CHR Hansen Holdings
COM
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990
35690
SH
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35690
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Cabot Corp
COM
127055101
790
21916
SH
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21916
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Cadence Bancorp
COM
12739a100
188
21915
SH
SOLE
0
21915
0
0
Callaway Golf
COM
131193104
958
50073
SH
SOLE
0
50073
0
0
Cardiovascular Systems Inc.
COM
141619106
1813
46074
SH
SOLE
0
46074
0
0
Carters Inc
COM
146229109
865
9994
SH
SOLE
0
9994
0
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Caterpillar Inc
COM
149123101
313
2100
SH
SOLE
0
2100
0
0
Checkpoint Therapeutics
COM
162828107
365
136045
SH
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0
136045
0
0
Cisco Systems Inc
COM
17275R102
587
14913
SH
SOLE
0
14913
0
0
Citigroup Inc New
COM
172967424
445
10329
SH
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0
10329
0
0
Clorox Co Del
COM
189054109
1008
4798
SH
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0
4798
0
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Cloudera INC
COM
18914u100
562
51574
SH
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51574
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Coca-Cola
COM
191216100
496
10040
SH
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10040
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Colgate Palmolive
COM
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720
9330
SH
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9330
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Columbia Banking Systems
COM
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35884
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35884
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Commercial Vehicle Group
COM
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545881
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Comtech Telecommunications
COM
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107680
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Cracker Barrel
COM
22410j106
682
5950
SH
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5950
0
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Cytokinetics Inc
COM
23282W605
1540
71124
SH
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0
71124
0
0
Danaher
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235851102
824
3827
SH
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0
3827
0
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Darling Ingredients, Inc.
COM
237266101
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54277
SH
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0
54277
0
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Deere & Co
COM
244199105
244
1102
SH
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1102
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Denali Therapeutics
COM
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19918
SH
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19918
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Diana Shipping Inc F
COM
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SH
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0
25727
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Duluth Holdings Inc
COM
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548
44875
SH
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44875
0
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Durect Corp
COM
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SH
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Dycom Industries Inc
COM
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SH
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Eaton Corporation
COM
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414
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SH
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Ecolab
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Emerson Electric Company
COM
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3768
SH
SOLE
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3768
0
0
Everbridge
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29978a104
1227
9758
SH
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9758
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Extreme Networks Inc.
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544
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SH
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135385
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Exxon Mobil Corporation
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30231G102
342
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SH
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Facebook Inc
COM
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255
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SOLE
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974
0
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Fairfax India Holdings
COM
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103
14981
SH
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Fastenal Co Com
COM
311900104
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SH
SOLE
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20586
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Ferro Corp
COM
315405100
930
75021
SH
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Fifth Third Bancorp Com
COM
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SH
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Fluor
COM
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Franco-Nevada
COM
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2468
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Freshpet Inc.
COM
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GTT Communications Inc
COM
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General Electric Company
COM
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Geospace Technologies
COM
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Goldman Sachs Group
COM
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Goodyear Tire & Rubber
COM
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Griffon Corp
COM
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Group 1 Automotive
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HP Inc.
COM
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Hanover Insurance Group
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Hewlett Packard Enterprise Co.
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Hudbay Minerals
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II-VI Inc.
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Impinj, Inc.
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Intel Corp
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Intl Business Machines
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Invacare Corp.
COM
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Johnson & Johnson
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1026
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Jpmorgan Chase & Co
COM
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Kohls
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Koppers Holdings Inc.
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Kraton Corp.
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LSB Industries
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Limelight Networks Inc
COM
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LivePerson
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MYR Group
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Manitex International
COM
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Mccormick & Co Inc Com Non Vtg
COM
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SH
SOLE
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4644
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Mckesson Corporation
COM
58155Q103
826
5549
SH
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5549
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Merck & Co Inc New
COM
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SH
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3871
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Mercury Systems
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Methode Electronics Inc.
COM
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Microsoft Corp
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Msci Eafe
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N C R Corp New
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Newpark Resources Inc
COM
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Northfield Bancorp
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Novo-Nordisk A/S
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Okta Inc
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Old Republic Intl Corp
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Peoples United Financial Inc.
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Pepsico Incorporated
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Perficient Inc
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Pfizer Incorporated
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Pinnacle Financial Partners, I
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SPDR Gold Shares
COM
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SPS Commerce
COM
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Salesforce.com Inc
COM
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Schwab Emerging Mrkets Equity
COM
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10706
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Selecta Biosciences Inc
COM
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Seres Therapeutics
COM
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Sm Energy Company
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Smartsheet Inc Class A
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Smile Direct Club
COM
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Snap Inc
COM
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Spirit Airlines Inc.
COM
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Sunopta Inc F
COM
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Teletech Holdings Inc
COM
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Tempur Sealy International Inc
COM
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Tennant Co
COM
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TriCo Bancshares
COM
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416
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Ttm Technologies Inc
COM
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Tutor Perini Corp
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UFP Industries
COM
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Unisys Corp
COM
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United Natural Foods
COM
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VanEck Vectors Gold Miners ETF
COM
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12369
0
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Vanguard Emerging Mkt Etf
COM
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759
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17563
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Vanguard Intermediate Term Tre
COM
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12684
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SOLE
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COM
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COM
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Watts Water Tech Inc A Class A
COM
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Williams Sonoma
COM
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SOLE
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6757
0
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vanguard total bond market etf
COM
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vanguard total stock market et
COM
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American Funds New Perspective
COM
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