HoldingsChannel.com
All Stocks Held By Pacific Ridge Capital Partners LLC
As of  12/31/2023, we find all stocks held by Pacific Ridge Capital Partners LLC to be as follows, presented in the table below with each row detailing each Pacific Ridge Capital Partners LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Pacific Ridge Capital Partners 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 Pacific Ridge Capital Partners LLC as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
Metropolitan Bank Hld 262,754 +436 $14,551
     MCB262,754+436$14,551
Barrett Business Services Inc 121,923 -13,435 $14,119
     BBSI121,923-13,435$14,119
Northeast Bank 211,476 -16,411 $11,671
     NBN211,476-16,411$11,671
Bowman Consulting Grp 301,599 -3,778 $10,713
     BWMN301,599-3,778$10,713
Build A Bear Workshop 445,695 +80,463 $10,247
     BBW445,695+80,463$10,247
Lakeland Industries 548,202 -11,585 $10,164
     LAKE548,202-11,585$10,164
Natural Gas Services Group Inc 620,298 -8,011 $9,974
     NGS620,298-8,011$9,974
Kimball Electronics 368,343 +19,234 $9,927
     KE368,343+19,234$9,927
FS Bancorp 267,313 -3,410 $9,880
     FSBW267,313-3,410$9,880
Northwest Pipe 317,067 +44,756 $9,594
     NWPX317,067+44,756$9,594
Twin Disc Inc 573,021 -49,562 $9,260
     TWIN573,021-49,562$9,260
Manitex International Inc 961,368 -12,201 $8,402
     MNTX961,368-12,201$8,402
Red Robin Gourmet Burgers 637,588 +119,351 $7,951
     RRGB637,588+119,351$7,951
MotorCar Parts of America Inc 815,475 -26,048 $7,617
     MPAA815,475-26,048$7,617
Global Medical REIT 666,049 -12,058 $7,393
     GMRE666,049-12,058$7,393
Cooper Standard Hlds 370,653 -106,326 $7,243
     CPS370,653-106,326$7,243
Parke Bancorp 357,682 -5,637 $7,243
     PKBK357,682-5,637$7,243
Civista Bancshares (CIVB) 392,359 -8,546 $7,235
     CIVB392,359-8,546$7,235
Asure Software 745,145 +115,256 $7,094
     ASUR745,145+115,256$7,094
Miller Industries Inc 166,708 -2,122 $7,050
     MLR166,708-2,122$7,050
Hamilton Beach Brands Hld 401,802 -5,071 $7,028
     HBB401,802-5,071$7,028
First Business Financial Servi 167,009 -2,125 $6,697
     FBIZ167,009-2,125$6,697
Colony Bankcorp 500,940 -15,003 $6,663
     CBAN500,940-15,003$6,663
Unity Bancorp 224,935 -2,877 $6,656
     UNTY224,935-2,877$6,656
Destination XL Group 1,504,800 -42,242 $6,621
     DXLG1,504,800-42,242$6,621
Orrstown Financial Services 219,885 -2,799 $6,487
     ORRF219,885-2,799$6,487
Cra Intl Inc 62,111 +3,897 $6,140
     CRAI62,111+3,897$6,140
Universal Technical Institute 486,794 -141,099 $6,095
     UTI486,794-141,099$6,095
Alico Inc 208,207 -7,293 $6,055
     ALCO208,207-7,293$6,055
Heritage Insurance Hlds Inc 905,855 -78,691 $5,906
     HRTG905,855-78,691$5,906
Five Star Bancorp 218,219 +32,487 $5,713
     FSBC218,219+32,487$5,713
West Bancorporation 263,830 -3,887 $5,593
     WTBA263,830-3,887$5,593
USCB Financial Hlds 456,323 +31,238 $5,590
     USCB456,323+31,238$5,590
Alpine Income Property Trust 326,601 -5,905 $5,523
     PINE326,601-5,905$5,523
Horizon Bancorp 385,021 -9,581 $5,510
     HBNC385,021-9,581$5,510
Esquire Financial Hld 108,328 -1,364 $5,412
     ESQ108,328-1,364$5,412
Strattec Security 201,499 -8,327 $5,106
     STRT201,499-8,327$5,106
Farmers National Banc Corp 351,065 -4,447 $5,073
     FMNB351,065-4,447$5,073
DMC Global Inc 269,071 +45,944 $5,064
     BOOM269,071+45,944$5,064
Lincoln Education Services 500,614 -6,376 $5,026
     LINC500,614-6,376$5,026
InTest Corp 356,042 +128,082 $4,842
     INTT356,042+128,082$4,842
Riverview Bancorp 739,833 -18,078 $4,735
     RVSB739,833-18,078$4,735
Tilly s Inc Cls A 626,135 -15,660 $4,721
     TLYS626,135-15,660$4,721
Silvercrest Asset Mgmnt Cls A 275,941 -8,318 $4,691
     SAMG275,941-8,318$4,691
BGSF Inc 498,553 -20,408 $4,686
     BGSF498,553-20,408$4,686
Capital Bancorp 191,602 -2,425 $4,637
     CBNK191,602-2,425$4,637
Rimini Street Inc. 1,383,969 +176,414 $4,526
     RMNI1,383,969+176,414$4,526
ARC Document Solutions 1,378,507 -18,593 $4,522
     ARC1,378,507-18,593$4,522
Acacia Research Corp 1,125,119 -13,503 $4,410
     ACTG1,125,119-13,503$4,410
JAKKS Pacific Inc 119,667 +43,009 $4,254
     JAKK119,667+43,009$4,254
First Northwest 259,464 -42,210 $4,136
     FNWB259,464-42,210$4,136
Lifetime Brands Inc 615,199 -102,575 $4,128
     LCUT615,199-102,575$4,128
Bankwell Financial Group 134,940 +29,616 $4,072
     BWFG134,940+29,616$4,072
Comtech Telecom Corp 478,589 -20,630 $4,035
     CMTL478,589-20,630$4,035
Hurco Companies Inc 185,577 -8,282 $3,995
     HURC185,577-8,282$3,995
Great Ajax Corp 737,194 +119,283 $3,907
     AJX737,194+119,283$3,907
Universal Electronics Inc 380,573 +50,117 $3,574
     UEIC380,573+50,117$3,574
DHI Group 1,309,731 +1,156,740 $3,392
     DHX1,309,731+1,156,740$3,392
Whole Earth Brands Cls A 986,794 -681,549 $3,365
     FREE986,794-681,549$3,365
Amtech Systems 754,376 -33,141 $3,168
     ASYS754,376-33,141$3,168
Eagle Bancorp Montana 193,002 -6,137 $3,048
     EBMT193,002-6,137$3,048
ProFire Energy 1,583,470 -20,027 $2,866
     PFIE1,583,470-20,027$2,866
AXT Inc 1,187,634 -44,435 $2,850
     AXTI1,187,634-44,435$2,850
Mistras Group Inc 388,309 -6,192 $2,842
     MG388,309-6,192$2,842
iShares Russell 2000 Value Ind (IWN) 18,115 +18,115 $2,814
     IWN18,115+18,115$2,814
PAM Transportation Services I 127,168 -2,158 $2,643
     PTSI127,168-2,158$2,643
Customers Bancorp 45,367 -11,963 $2,614
     CUBI45,367-11,963$2,614
Shimmick 390,935 +390,935 $2,580
     SHIM390,935+390,935$2,580
Sterling Infrastructure Inc 25,627 UNCH $2,253
     STRL25,627UNCH$2,253
NN Inc 550,698 -129,161 $2,203
     NNBR550,698-129,161$2,203
Photronics Inc 69,305 -155,443 $2,174
     PLAB69,305-155,443$2,174
Genasys 1,054,481 +42,703 $2,141
     GNSS1,054,481+42,703$2,141
Perdoceo Education Corp. 119,419 UNCH $2,097
     PRDO119,419UNCH$2,097
Wabash National Corp. 81,258 UNCH $2,082
     WNC81,258UNCH$2,082
EPlus Inc 24,950 UNCH $1,992
     PLUS24,950UNCH$1,992
SP Plus Corp 36,818 -8,594 $1,887
     SP36,818-8,594$1,887
Stagwell Inc 277,804 UNCH $1,842
     STGW277,804UNCH$1,842
ConnectOne Bancorp 80,296 +9,243 $1,840
     CNOB80,296+9,243$1,840
Koppers Holdings 34,355 UNCH $1,760
     KOP34,355UNCH$1,760
Smith Micro Software 2,128,190 +374,963 $1,758
     SMSI2,128,190+374,963$1,758
Caleres Inc 56,790 UNCH $1,745
     CAL56,790UNCH$1,745
Cohu Inc 48,246 UNCH $1,707
     COHU48,246UNCH$1,707
Bridgewater Bancshares (BWB) 120,891 UNCH $1,634
     BWB120,891UNCH$1,634
Ultra Clean Holdings 45,482 +5,489 $1,553
     UCTT45,482+5,489$1,553
GigaCloud Tech Cls A 84,617 +18,049 $1,548
     GCT84,617+18,049$1,548
First Financial Corp 35,716 UNCH $1,537
     THFF35,716UNCH$1,537
ACCO Brands 250,547 +31,851 $1,523
     ACCO250,547+31,851$1,523
Business First Bancshares Inc (BFST) 59,895 UNCH $1,476
     BFST59,895UNCH$1,476
Pathward Financial Inc 27,523 UNCH $1,457
     CASH27,523UNCH$1,457
Chefs Warehouse 47,655 UNCH $1,402
     CHEF47,655UNCH$1,402
Benchmark Electronics Inc 49,588 UNCH $1,371
     BHE49,588UNCH$1,371
Kelly Services Cls A 62,950 UNCH $1,361
     KELYA62,950UNCH$1,361
Ichor Holdings 39,653 UNCH $1,334
     ICHR39,653UNCH$1,334
BM Technologies Inc 645,768 +185,626 $1,324
     BMTX645,768+185,626$1,324
QCR Holdings Inc 22,616 UNCH $1,321
     QCRH22,616UNCH$1,321
Banc of California Inc 98,005 UNCH $1,316
     BANC98,005UNCH$1,316
Heidrick & Struggles Intl 44,130 UNCH $1,303
     HSII44,130UNCH$1,303
Heritage Financial 60,628 +13,165 $1,297
     HFWA60,628+13,165$1,297
Patrick Industries 12,910 UNCH $1,296
     PATK12,910UNCH$1,296
1 800 Flowers.com Inc 112,408 UNCH $1,212
     FLWS112,408UNCH$1,212
Resources Connection 84,934 UNCH $1,204
     RGP84,934UNCH$1,204
One Stop Systems 561,798 -19,859 $1,180
     OSS561,798-19,859$1,180
Healthcare Services Group Inc 113,714 +18,539 $1,179
     HCSG113,714+18,539$1,179
Edgewell Personal Care 31,780 UNCH $1,164
     EPC31,780UNCH$1,164
Designer Brands 130,142 +19,758 $1,152
     DBI130,142+19,758$1,152
Global Net Lease REIT 108,936 -1 $1,084
     GNL108,936-1$1,084
PC Connection 15,977 -3,353 $1,074
     CNXN15,977-3,353$1,074
Ennis Inc 48,507 UNCH $1,063
     EBF48,507UNCH$1,063
RMR Group Cls A 37,290 +8,975 $1,053
     RMR37,290+8,975$1,053
Univest Financial Corp 47,055 UNCH $1,037
     UVSP47,055UNCH$1,037
Hanesbrands 231,926 +53,602 $1,034
     HBI231,926+53,602$1,034
Columbus McKinnon Corp 25,781 UNCH $1,006
     CMCO25,781UNCH$1,006
Heritage Commerce Corp 96,193 UNCH $954
     HTBK96,193UNCH$954
PRA Group 35,757 UNCH $937
     PRAA35,757UNCH$937
Hudson Technologies 63,130 +34,164 $852
     HDSN63,130+34,164$852
TrueBlue Inc 52,283 UNCH $802
     TBI52,283UNCH$802
NV5 Global Inc 7,051 UNCH $784
     NVEE7,051UNCH$784
Standard Motor 18,500 UNCH $736
     SMP18,500UNCH$736
Zumiez Inc 36,077 UNCH $734
     ZUMZ36,077UNCH$734
Daktronics Inc 75,970 UNCH $644
     DAKT75,970UNCH$644
Brinker International 14,923 UNCH $644
     EAT14,923UNCH$644
DXP Enterprises Inc 19,070 UNCH $643
     DXPE19,070UNCH$643
Netgear Inc 42,748 UNCH $623
     NTGR42,748UNCH$623
Matrix Service Co 60,556 UNCH $592
     MTRX60,556UNCH$592
Newpark Resources Inc 82,701 UNCH $549
     NR82,701UNCH$549
Brandywine Realty Trust 101,261 +101,261 $547
     BDN101,261+101,261$547
Bloomin Brands 19,070 UNCH $537
     BLMN19,070UNCH$537
System1 Inc 233,789 UNCH $519
     SST233,789UNCH$519
Universal Logistics 16,767 +16,767 $470
     ULH16,767+16,767$470
Quantum Corp 1,338,647 -63,809 $467
     QMCO1,338,647-63,809$467
Smart Global Holdings 24,573 +24,573 $465
     SGH24,573+24,573$465
Wolverine World Wide 52,292 +52,292 $465
     WWW52,292+52,292$465
Shyft Group Inc 37,570 UNCH $459
     SHYF37,570UNCH$459
Cheesecake Factory 12,580 UNCH $440
     CAKE12,580UNCH$440
Enerpac Tool Group 13,502 -12,008 $420
     EPAC13,502-12,008$420
Ribbon Communications Inc 138,769 UNCH $402
     RBBN138,769UNCH$402
Chicos FAS 50,330 -21,513 $382
     CHS50,330-21,513$382
ACM Research Cls A $0 (exited)
     ACMR0-196,976$0
Avantax Inc $0 (exited)
     AVTA0-37,288$0
Intevac Inc $0 (exited)
     IVAC0-184,732$0
Natures Sunshine Products $0 (exited)
     NATR0-228,787$0
Peoples Financial Services 0 -48,799 $0 (exited)
     PFIS0-48,799$0

See Summary: Pacific Ridge Capital Partners LLC Top Holdings
See Details: Top 10 Stocks Held By Pacific Ridge Capital Partners LLC

EntityShares/Amount
Change
Position Value
Change
IWN +18,115+$2,814
SHIM +390,935+$2,580
BDN +101,261+$547
ULH +16,767+$470
SGH +24,573+$465
WWW +52,292+$465
EntityShares/Amount
Change
Position Value
Change
NATR -228,787-$3,791
ACMR -196,976-$3,566
PFIS -48,799-$1,957
AVTA -37,288-$954
IVAC -184,732-$575
EntityShares/Amount
Change
Position Value
Change
DHX +1,156,740+$2,924
SMSI +374,963-$363
BMTX +185,626+$404
RMNI +176,414+$1,869
INTT +128,082+$1,384
RRGB +119,351+$3,784
AJX +119,283-$72
ASUR +115,256+$1,135
BBW +80,463-$494
HBI +53,602+$328
EntityShares/Amount
Change
Position Value
Change
FREE -681,549-$2,641
PLAB -155,443-$2,368
UTI -141,099+$833
NNBR -129,161+$938
CPS -106,326+$842
LCUT -102,575+$87
HRTG -78,691-$484
QMCO -63,809-$388
TWIN -49,562+$718
Size ($ 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

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