Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
Metropolitan Bank Hld | 262,754 | +436 | $14,551 |
MCB | 262,754 | +436 | $14,551 |
Barrett Business Services Inc | 121,923 | -13,435 | $14,119 |
BBSI | 121,923 | -13,435 | $14,119 |
Northeast Bank | 211,476 | -16,411 | $11,671 |
NBN | 211,476 | -16,411 | $11,671 |
Bowman Consulting Grp | 301,599 | -3,778 | $10,713 |
BWMN | 301,599 | -3,778 | $10,713 |
Build A Bear Workshop | 445,695 | +80,463 | $10,247 |
BBW | 445,695 | +80,463 | $10,247 |
Lakeland Industries | 548,202 | -11,585 | $10,164 |
LAKE | 548,202 | -11,585 | $10,164 |
Natural Gas Services Group Inc | 620,298 | -8,011 | $9,974 |
NGS | 620,298 | -8,011 | $9,974 |
Kimball Electronics | 368,343 | +19,234 | $9,927 |
KE | 368,343 | +19,234 | $9,927 |
FS Bancorp | 267,313 | -3,410 | $9,880 |
FSBW | 267,313 | -3,410 | $9,880 |
Northwest Pipe | 317,067 | +44,756 | $9,594 |
NWPX | 317,067 | +44,756 | $9,594 |
Twin Disc Inc | 573,021 | -49,562 | $9,260 |
TWIN | 573,021 | -49,562 | $9,260 |
Manitex International Inc | 961,368 | -12,201 | $8,402 |
MNTX | 961,368 | -12,201 | $8,402 |
Red Robin Gourmet Burgers | 637,588 | +119,351 | $7,951 |
RRGB | 637,588 | +119,351 | $7,951 |
MotorCar Parts of America Inc | 815,475 | -26,048 | $7,617 |
MPAA | 815,475 | -26,048 | $7,617 |
Global Medical REIT | 666,049 | -12,058 | $7,393 |
GMRE | 666,049 | -12,058 | $7,393 |
Cooper Standard Hlds | 370,653 | -106,326 | $7,243 |
CPS | 370,653 | -106,326 | $7,243 |
Parke Bancorp | 357,682 | -5,637 | $7,243 |
PKBK | 357,682 | -5,637 | $7,243 |
Civista Bancshares (CIVB) | 392,359 | -8,546 | $7,235 |
CIVB | 392,359 | -8,546 | $7,235 |
Asure Software | 745,145 | +115,256 | $7,094 |
ASUR | 745,145 | +115,256 | $7,094 |
Miller Industries Inc | 166,708 | -2,122 | $7,050 |
MLR | 166,708 | -2,122 | $7,050 |
Hamilton Beach Brands Hld | 401,802 | -5,071 | $7,028 |
HBB | 401,802 | -5,071 | $7,028 |
First Business Financial Servi | 167,009 | -2,125 | $6,697 |
FBIZ | 167,009 | -2,125 | $6,697 |
Colony Bankcorp | 500,940 | -15,003 | $6,663 |
CBAN | 500,940 | -15,003 | $6,663 |
Unity Bancorp | 224,935 | -2,877 | $6,656 |
UNTY | 224,935 | -2,877 | $6,656 |
Destination XL Group | 1,504,800 | -42,242 | $6,621 |
DXLG | 1,504,800 | -42,242 | $6,621 |
Orrstown Financial Services | 219,885 | -2,799 | $6,487 |
ORRF | 219,885 | -2,799 | $6,487 |
Cra Intl Inc | 62,111 | +3,897 | $6,140 |
CRAI | 62,111 | +3,897 | $6,140 |
Universal Technical Institute | 486,794 | -141,099 | $6,095 |
UTI | 486,794 | -141,099 | $6,095 |
Alico Inc | 208,207 | -7,293 | $6,055 |
ALCO | 208,207 | -7,293 | $6,055 |
Heritage Insurance Hlds Inc | 905,855 | -78,691 | $5,906 |
HRTG | 905,855 | -78,691 | $5,906 |
Five Star Bancorp | 218,219 | +32,487 | $5,713 |
FSBC | 218,219 | +32,487 | $5,713 |
West Bancorporation | 263,830 | -3,887 | $5,593 |
WTBA | 263,830 | -3,887 | $5,593 |
USCB Financial Hlds | 456,323 | +31,238 | $5,590 |
USCB | 456,323 | +31,238 | $5,590 |
Alpine Income Property Trust | 326,601 | -5,905 | $5,523 |
PINE | 326,601 | -5,905 | $5,523 |
Horizon Bancorp | 385,021 | -9,581 | $5,510 |
HBNC | 385,021 | -9,581 | $5,510 |
Esquire Financial Hld | 108,328 | -1,364 | $5,412 |
ESQ | 108,328 | -1,364 | $5,412 |
Strattec Security | 201,499 | -8,327 | $5,106 |
STRT | 201,499 | -8,327 | $5,106 |
Farmers National Banc Corp | 351,065 | -4,447 | $5,073 |
FMNB | 351,065 | -4,447 | $5,073 |
DMC Global Inc | 269,071 | +45,944 | $5,064 |
BOOM | 269,071 | +45,944 | $5,064 |
Lincoln Education Services | 500,614 | -6,376 | $5,026 |
LINC | 500,614 | -6,376 | $5,026 |
InTest Corp | 356,042 | +128,082 | $4,842 |
INTT | 356,042 | +128,082 | $4,842 |
Riverview Bancorp | 739,833 | -18,078 | $4,735 |
RVSB | 739,833 | -18,078 | $4,735 |
Tilly s Inc Cls A | 626,135 | -15,660 | $4,721 |
TLYS | 626,135 | -15,660 | $4,721 |
Silvercrest Asset Mgmnt Cls A | 275,941 | -8,318 | $4,691 |
SAMG | 275,941 | -8,318 | $4,691 |
BGSF Inc | 498,553 | -20,408 | $4,686 |
BGSF | 498,553 | -20,408 | $4,686 |
Capital Bancorp | 191,602 | -2,425 | $4,637 |
CBNK | 191,602 | -2,425 | $4,637 |
Rimini Street Inc. | 1,383,969 | +176,414 | $4,526 |
RMNI | 1,383,969 | +176,414 | $4,526 |
ARC Document Solutions | 1,378,507 | -18,593 | $4,522 |
ARC | 1,378,507 | -18,593 | $4,522 |
Acacia Research Corp | 1,125,119 | -13,503 | $4,410 |
ACTG | 1,125,119 | -13,503 | $4,410 |
JAKKS Pacific Inc | 119,667 | +43,009 | $4,254 |
JAKK | 119,667 | +43,009 | $4,254 |
See Full List: All Stocks Held By Pacific Ridge Capital Partners LLC
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Pacific Ridge Capital Partners LLC
Size ($ in 1000's)
At 12/31/2023: $492,382 At 09/30/2023: $431,251 Pacific Ridge Capital Partners LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Pacific Ridge Capital Partners LLC 13F filings. Link to 13F filings: SEC filings |