HoldingsChannel.com
All Stocks Held By Bridge City Capital LLC
As of  12/31/2022, we find all stocks held by Bridge City Capital LLC to be as follows, presented in the table below with each row detailing each Bridge City Capital LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Bridge City Capital LLC table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Bridge City Capital LLC as of the latest filing.

   EntityAmountChange
 09/30/2022 to 12/31/2022
Position Size
($ in 1000's)
Ensign Group Inc. 61,694 -5,883 $5,837
     ENSG61,694-5,883$5,837
EMCOR Group Inc. 39,218 -282 $5,809
     EME39,218-282$5,809
Methode Electronics Inc. 109,064 -831 $4,839
     MEI109,064-831$4,839
Comfort Systems USA Inc. 39,538 -288 $4,550
     FIX39,538-288$4,550
Medpace Holdings Inc. 20,978 -3,942 $4,456
     MEDP20,978-3,942$4,456
Tetra Tech Inc. 28,366 -199 $4,118
     TTEK28,366-199$4,118
A10 Networks Inc. 237,608 -1,683 $3,951
     ATEN237,608-1,683$3,951
Casey&apos s General Stores 15,585 -111 $3,496
     CASY15,585-111$3,496
Ameresco Inc 59,737 -426 $3,413
     AMRC59,737-426$3,413
Globus Medical Inc. 45,767 -322 $3,399
     GMED45,767-322$3,399
Lemaitre Vascular Inc. 73,335 -513 $3,375
     LMAT73,335-513$3,375
Performance Food Group 54,413 -379 $3,177
     PFGC54,413-379$3,177
Glacier Bancorp Inc. 63,789 -473 $3,152
     GBCI63,789-473$3,152
Cactus Inc 61,608 -431 $3,096
     WHD61,608-431$3,096
Landstar System Inc. 17,924 -131 $2,920
     LSTR17,924-131$2,920
RBC Bearings Incorporated 13,739 +516 $2,876
     ROLL13,739+516$2,876
LHC Group Inc. 16,943 -117 $2,740
     LHCG16,943-117$2,740
Dril Quip Inc. 100,824 -702 $2,739
     DRQ100,824-702$2,739
UFP Industries Inc. 34,552 -248 $2,738
     UFPI34,552-248$2,738
AMN Healthcare Services Inc. 25,347 -185 $2,606
     AMN25,347-185$2,606
Diodes Inc. 33,140 -10,893 $2,523
     DIOD33,140-10,893$2,523
US Physical Therapy Inc. 31,059 -130 $2,517
     USPH31,059-130$2,517
Lithia Motors Inc. 12,275 -84 $2,513
     LAD12,275-84$2,513
MasTec Inc. 29,262 -202 $2,497
     MTZ29,262-202$2,497
Rogers Corporation 20,312 +4,845 $2,424
     ROG20,312+4,845$2,424
Axcelis Technologies Inc. 30,529 -217 $2,423
     ACLS30,529-217$2,423
Ziff Davis Inc. 30,423 -214 $2,406
     ZD30,423-214$2,406
Onto Innovation Inc. 34,986 -15,582 $2,382
     ONTO34,986-15,582$2,382
First Financial Bankshares In (FFIN) 68,932 -470 $2,371
     FFIN68,932-470$2,371
SiteOne Landscape Supply Inc 20,098 +5,968 $2,358
     SITE20,098+5,968$2,358
Addus HomeCare Corp 23,015 -153 $2,290
     ADUS23,015-153$2,290
Supernus Pharmaceuticals Inc. 63,020 -448 $2,248
     SUPN63,020-448$2,248
Coherent Corp 63,804 -463 $2,240
     COHR63,804-463$2,240
J&J Snack Foods Corp. 14,882 -105 $2,228
     JJSF14,882-105$2,228
Albany International Corp 22,521 -145 $2,220
     AIN22,521-145$2,220
MACOM Tech Solutions 34,846 -238 $2,195
     MTSI34,846-238$2,195
Getty Realty Corp 63,812 -424 $2,160
     GTY63,812-424$2,160
American Eagle Outfitters 150,968 -1,028 $2,108
     AEO150,968-1,028$2,108
Vishay Precision Group 54,395 -364 $2,102
     VPG54,395-364$2,102
Semtech Corporation 71,082 -518 $2,039
     SMTC71,082-518$2,039
Neogen Corporation 133,116 +54,853 $2,027
     NEOGV133,116+54,853$2,027
Quaker Chemical Corporation 12,113 -79 $2,022
     KWR12,113-79$2,022
La Z Boy Incorporated 88,089 -623 $2,010
     LZB88,089-623$2,010
Century Communities Inc. 38,101 -275 $1,905
     CCS38,101-275$1,905
Hope Bancorp Inc. 148,409 -1,018 $1,901
     HOPE148,409-1,018$1,901
RPC Inc. 212,549 +70,771 $1,890
     RES212,549+70,771$1,890
Gentherm Inc. 28,574 -203 $1,866
     THRM28,574-203$1,866
Zynex 131,679 -930 $1,832
     ZYXI131,679-930$1,832
Exponent Inc 18,413 -124 $1,825
     EXPO18,413-124$1,825
Boise Cascade Company 26,500 -190 $1,820
     BCC26,500-190$1,820
Dorman Products Inc. 22,288 -171 $1,802
     DORM22,288-171$1,802
Insteel Industries Inc. 65,048 -443 $1,790
     IIIN65,048-443$1,790
Cambium Network Corp 82,282 -571 $1,783
     CMBM82,282-571$1,783
Consensus Cloud Solutions Inc. 32,334 +27 $1,738
     CCSI32,334+27$1,738
MillerKnoll Inc. 81,262 -561 $1,707
     MLKN81,262-561$1,707
Wesbanco Inc. 45,980 -357 $1,700
     WSBC45,980-357$1,700
EVERTEC Inc 51,702 -341 $1,674
     EVTC51,702-341$1,674
Amedisys Inc. 19,681 -134 $1,644
     AMED19,681-134$1,644
Synaptics Incorporated 16,883 +16,883 $1,607
     SYNA16,883+16,883$1,607
Perficient Inc. 22,884 -155 $1,598
     PRFT22,884-155$1,598
California Water Service Group 25,924 -178 $1,572
     CWT25,924-178$1,572
Photronics 92,400 -656 $1,555
     PLAB92,400-656$1,555
Healthcare Services Group Inc 129,426 -904 $1,553
     HCSG129,426-904$1,553
TTEC Holdings Inc. 35,155 -257 $1,551
     TTEC35,155-257$1,551
Omnicell Inc. 30,308 -221 $1,528
     OMCL30,308-221$1,528
Franklin Electric Co. 18,926 -140 $1,509
     FELE18,926-140$1,509
Lumentum Holdings Inc. 28,922 -223 $1,509
     LITE28,922-223$1,509
DMC Global Inc. 76,649 +13,257 $1,490
     BOOM76,649+13,257$1,490
OSI Systems Inc. 18,561 -139 $1,476
     OSIS18,561-139$1,476
NVE Corporation 22,700 -154 $1,470
     NVEC22,700-154$1,470
Lakeland Financial Corporation 19,865 -141 $1,450
     LKFN19,865-141$1,450
YETI Holdings 33,888 -240 $1,400
     YETI33,888-240$1,400
Phibro Animal Health Corporati 102,603 -721 $1,376
     PAHC102,603-721$1,376
Select Energy Services Inc. 148,836 +148,836 $1,375
     WTTR148,836+148,836$1,375
Coherus Biosciences 166,722 -1,145 $1,320
     CHRS166,722-1,145$1,320
Medifast Inc 11,396 -80 $1,315
     MED11,396-80$1,315
Ollie&apos s Bargain Outlet Holding 27,709 -184 $1,298
     OLLI27,709-184$1,298
Qualys Inc. 11,176 -83 $1,254
     QLYS11,176-83$1,254
Corcept Therapeutics Inc 60,824 -430 $1,235
     CORT60,824-430$1,235
MEDNAX Inc. 80,557 -538 $1,197
     MD80,557-538$1,197
LTC Properties Inc. 33,384 -240 $1,186
     LTC33,384-240$1,186
Computer Programs & Systems In 42,308 -285 $1,152
     CPSI42,308-285$1,152
Sleep Number Corporation 42,013 -294 $1,091
     SNBR42,013-294$1,091
Shake Shack Inc. 25,860 -185 $1,074
     SHAK25,860-185$1,074
Evercore Inc. 9,765 -68 $1,065
     EVR9,765-68$1,065
WD 40 CO COM 5,305 -38 $855
     WDFC5,305-38$855
ACI Worldwide Inc. 34,586 -249 $795
     ACIW34,586-249$795
Cracker Barrel Old Country Sto 7,506 -57 $711
     CBRL7,506-57$711
City Office REIT 84,365 -566 $707
     CIO84,365-566$707
Shutterstock Inc. 12,825 -91 $676
     SSTK12,825-91$676
Easterly Government Properties 44,298 -281 $632
     DEA44,298-281$632
Tandem Diabetes Care Inc 13,512 -96 $607
     TNDM13,512-96$607
iShares Russell 2000 Growth ET (IWO) 1,126 +13 $242
     IWO1,126+13$242
Axon Enterprise Inc. $0 (exited)
     AXON0-19,488$0
Wolverine World Wide Inc. 0 -82,976 $0 (exited)
     WWW0-82,976$0

See Summary: Bridge City Capital LLC Top Holdings
See Details: Top 10 Stocks Held By Bridge City Capital LLC

EntityShares/Amount
Change
Position Value
Change
SYNA +16,883+$1,607
WTTR +148,836+$1,375
EntityShares/Amount
Change
Position Value
Change
AXON -19,488-$2,256
WWW -82,976-$1,277
EntityShares/Amount
Change
Position Value
Change
RES +70,771+$907
NEOGV +54,853+$934
BOOM +13,257+$477
SITE +5,968+$887
ROG +4,845-$1,317
ROLL +516+$128
CCSI +27+$210
IWO +13+$12
WDFC -38-$84
CBRL -57+$11
EntityShares/Amount
Change
Position Value
Change
ONTO -15,582-$857
DIOD -10,893-$335
ENSG -5,883+$465
MEDP -3,942+$539
ATEN -1,683+$776
CHRS -1,145-$293
AEO -1,028+$629
HOPE -1,018+$12
ZYXI -930+$629
Size ($ in 1000's)
At 12/31/2022: $194,898
At 09/30/2022: $182,229

Bridge City Capital LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Bridge City Capital LLC 13F filings. Link to 13F filings: SEC filings

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