HoldingsChannel.com
Paradigm Capital Management Inc. NY Top Holdings
As of  09/30/2022, below is a summary of the Paradigm Capital Management Inc. NY top holdings by largest position size, as per the latest 13f filing made by Paradigm Capital Management Inc. NY. In the Paradigm Capital Management Inc. NY-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Paradigm Capital Management Inc. NY in that top holding, then the share count change between reporting periods, and finally the Paradigm Capital Management Inc. NY top holding position size for that row.

   EntityAmountChange
 06/30/2022 to 09/30/2022
Position Size
($ in 1000's)
Onto Innovation Inc. 1,231,789 -4,100 $78,897
     ONTO1,231,789-4,100$78,897
Extreme Networks 5,836,600 -136,600 $76,284
     EXTR5,836,600-136,600$76,284
R1 RCM Inc New 3,321,500 -37,400 $61,548
     RCM3,321,500-37,400$61,548
Fabrinet 569,300 -1,400 $54,340
     FN569,300-1,400$54,340
Calix Inc 869,800 -112,500 $53,180
     CALX869,800-112,500$53,180
Veeco Instruments 2,839,366 +126,300 $52,017
     VECO2,839,366+126,300$52,017
Insight Enterprises 626,900 -1,200 $51,663
     NSIT626,900-1,200$51,663
Globus Medical Inc Cl A new 683,500 -4,500 $40,717
     GMED683,500-4,500$40,717
MaxLinear Inc 1,222,200 +140,300 $39,868
     MXL1,222,200+140,300$39,868
Jabil Inc 651,433 -2,700 $37,594
     JBL651,433-2,700$37,594
Entegris Inc 441,500 -1,700 $36,653
     ENTG441,500-1,700$36,653
Ultra Clean Holdings Inc 1,422,133 +87,500 $36,620
     UCTT1,422,133+87,500$36,620
Broadcom Ltd 82,100 UNCH $36,453
     AVGO82,100UNCH$36,453
Modine Manufacturing Co 2,563,430 -800 $33,170
     MOD2,563,430-800$33,170
Coherent Inc 920,900 +920,900 $32,093
     COHR920,900+920,900$32,093
Ensign Group Inc. 387,100 -2,100 $30,774
     ENSG387,100-2,100$30,774
EnerSys 516,000 -2,500 $30,016
     ENS516,000-2,500$30,016
Ducommun Inc 740,048 +5,095 $29,350
     DCO740,048+5,095$29,350
Omnicell Inc 319,967 UNCH $27,847
     OMCL319,967UNCH$27,847
Cohu Inc. 1,009,649 UNCH $26,029
     COHU1,009,649UNCH$26,029
Ribbon Communications Inc 10,387,945 +75,023 $23,061
     RBBN10,387,945+75,023$23,061
Caleres Inc 890,700 -166,900 $21,573
     CAL890,700-166,900$21,573
Formfactor Inc 761,800 +283,400 $19,083
     FORM761,800+283,400$19,083
Cutera Inc. 387,100 UNCH $17,652
     CUTR387,100UNCH$17,652
Summit Materials Inc. Class a 734,400 -3,800 $17,596
     SUM734,400-3,800$17,596
TD SYNNEX Corporation 194,374 -37,600 $15,781
     SNX194,374-37,600$15,781
American Woodmark Corporation 340,600 -41,800 $14,939
     AMWD340,600-41,800$14,939
Builders Firstsource Inc 238,150 -13,100 $14,032
     BLDR238,150-13,100$14,032
Westrock Co 447,823 -23,000 $13,833
     WRK447,823-23,000$13,833
Absolute Software Corp 1,081,124 -47,876 $12,552
     ABST1,081,124-47,876$12,552
Kulicke & Soffa Industries Inc 320,450 UNCH $12,346
     KLIC320,450UNCH$12,346
Infinera Corp 2,494,000 +350,000 $12,071
     INFN2,494,000+350,000$12,071
Kforce Inc. 199,200 -3,400 $11,684
     KFRC199,200-3,400$11,684
Citi Trends Inc. 748,200 +281,300 $11,605
     CTRN748,200+281,300$11,605
Scansource Inc 437,794 +178,594 $11,562
     SCSC437,794+178,594$11,562
Nextgen Healthcare Inc. 644,100 +61,600 $11,401
     NXGN644,100+61,600$11,401
EMCOR Group Inc. 94,875 UNCH $10,956
     EME94,875UNCH$10,956
Cerence Inc. 649,900 +259,200 $10,236
     CRNC649,900+259,200$10,236
PerkinElmer Inc. 81,950 UNCH $9,861
     PKI81,950UNCH$9,861
Nature&apos s Sunshine Products In 1,131,330 UNCH $9,323
     NATR1,131,330UNCH$9,323
AVIAT NETWORKS INC COM NEW 319,100 +220,400 $8,737
     AVNW319,100+220,400$8,737
Kratos Defense & Security Solu 828,100 +80,000 $8,414
     KTOS828,100+80,000$8,414
Marvell Technology Inc. 170,200 -5,700 $7,303
     MRVL170,200-5,700$7,303
Teradyne Inc 95,600 -5,000 $7,184
     TER95,600-5,000$7,184
Natera Inc. 156,900 UNCH $6,875
     NTRA156,900UNCH$6,875
Mid America Apartment Communit 42,565 UNCH $6,601
     MAA42,565UNCH$6,601
NN Inc. 3,592,400 -295,310 $6,143
     NNBR3,592,400-295,310$6,143
WESCO International Inc. 49,800 -1,100 $5,945
     WCC49,800-1,100$5,945
AngioDynamics Inc. 287,000 UNCH $5,872
     ANGO287,000UNCH$5,872
Ichor Holdings 241,100 -278,883 $5,837
     ICHR241,100-278,883$5,837

See Full List: All Stocks Held By Paradigm Capital Management Inc. NY
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Paradigm Capital Management Inc. NY

Size ($ in 1000's)
At 09/30/2022: $1,391,454
At 06/30/2022: $1,474,077

Paradigm Capital Management Inc. NY holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Paradigm Capital Management Inc. NY 13F filings. Link to 13F filings: SEC filings

Paradigm Capital Management Inc. NY Top Holdings 13F Filings | www.HoldingsChannel.com

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