Fund HoldingsHarvey Partners, LLC

Total Portfolio Value
$1.46B
Total Bought
$209.11M
Total Sold
$236.96M
Net Transaction
-$27.85M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
CECO ENVIRONMENTAL CORP(CECO)0311,132+311,132028,2321.93%+28,232
MATERION CORP(MTRN)293,121220,068-73,05342,40065,4464.48%+23,046
CINTAS CORP(CTAS)0111,547+111,547018,9721.30%+18,972
SITEONE LANDSCAPE SUPPLY INC(SITE)0144,059+144,059016,4821.13%+16,482
ALBANY INTL CORP0218,090+218,090016,2481.11%+16,248
ENPRO INC(NPO)253,500207,593-45,90763,54078,2485.36%+14,708
MARTIN MARIETTA MATLS INC(MLM)63,92587,035+23,11037,63150,1933.44%+12,562
GENTHERM INC(THRM)1,233,5001,326,075+92,57534,26745,2323.10%+10,966
SCOTTS MIRACLE-GRO CO(SMG)437,500542,727+105,22726,60436,9652.53%+10,361
POOL CORP(POOL)135,000174,074+39,07427,31537,4092.56%+10,094
LITTELFUSE INC(LFUS)121,500112,547-8,95341,23151,2463.51%+10,015
ISHARES TR(Put)32,50060,000+27,5008,06018,027+9,967
NOVANTA INC(NOVT)320,000294,122-25,87837,79547,7183.27%+9,923
FLOOR & DECOR HLDGS INC(FND)0155,566+155,56609,2340.63%+9,234
VISHAY PRECISION GROUP INC(VPG)401,571177,659-223,91217,43626,6331.82%+9,197
BRIGHTVIEW HLDGS INC(BV)2,938,0003,078,797+140,79734,63943,6272.99%+8,988
KNOWLES CORP(KN)664,500613,805-50,69517,06425,4611.74%+8,396
CASELLA WASTE SYS INC(CWST)281,500310,131+28,63122,33430,0732.06%+7,739
BALL CORP560,000653,286+93,28633,10240,7652.79%+7,663
APPLIED AEROSPACE & DEFENSE0329,178+329,17807,4990.51%+7,499
CTS CORP(CTS)594,400545,231-49,16928,38935,5442.43%+7,155
MKS INC.(MKSI)243,396141,066-102,33055,93562,7464.30%+6,811
AZZ INC351,500323,137-28,36343,98350,1023.43%+6,119
LIBERTY MEDIA CORP DEL(FWONA)123,500174,000+50,50010,50016,5541.13%+6,054
WASTE CONNECTIONS INC(WCN)258,500287,122+28,62241,99147,8603.28%+5,870
MANCHESTER UTD PLC NEW
ORD CL A
1,212,5001,127,547-84,95320,39425,8551.77%+5,460
ASTEC INDS INC672,200674,000+1,80036,19141,2422.82%+5,051
ATLANTA BRAVES HLDGS INC806,000756,832-49,16834,41639,2802.69%+4,863
LIBERTY MEDIA CORP DEL(FWONA)60,000102,119+42,1194,6858,9390.61%+4,255
BALCHEM CORP114,800136,057+21,25719,45622,9871.57%+3,531
WYNDHAM HOTELS & RESORTS INC(WH)121,000157,567+36,5679,82913,2690.91%+3,440
UL SOLUTIONS INC(ULS)342,500320,656-21,84429,35632,6622.24%+3,306
STATE STR SPDR S&P 500 ETF T(SPY)13,00015,000+2,0008,45411,2020.77%+2,747
RISKIFIED LTD3,396,0003,165,547-230,45313,31215,9541.09%+2,642
APPLIED DIGITAL CORP150,000150,00003,5615,5950.38%+2,034
INGEVITY CORP(NGVT)743,500734,307-9,19352,96054,8313.75%+1,871
PALO ALTO NETWORKS INC(PANW)91,00048,000-43,00014,58916,3691.12%+1,780
ICHOR HOLDINGS
SHS
469,179205,874-263,30521,86823,1161.58%+1,247
MATRIX SVC CO905,000815,023-89,97710,38911,1660.76%+776
ARMSTRONG WORLD INDS INC NEW(AWI)196,000205,087+9,08732,30132,9002.25%+599
ORION S.A.1,304,0001,190,579-113,4218,4767,8940.54%-582
NLIGHT INC(LASR)413,584302,711-110,87323,58321,0751.44%-2,508
RENTOKIL INITIAL PLC(RTO)975,500983,956+8,45630,70928,1511.93%-2,558
VARONIS SYS INC(VRNS)140,0000-140,0003,0060-3,006
NOKIA CORP(NOK)2,945,5001,454,626-1,490,87423,68219,3171.32%-4,364
BWX TECHNOLOGIES INC(BWXT)255,300243,107-12,19352,20647,3213.24%-4,886
DNOW INC(DNOW)730,9430-730,9438,7060-8,706
CHECK POINT SOFTWARE TECH LT
ORD
109,50041,500-68,00015,6425,4540.37%-10,188
GREAT LAKES DREDGE & DOCK CO610,0000-610,00010,3700-10,370
CALIX INC(CALX)572,500420,500-152,00028,04715,6931.07%-12,354
ADEIA INC(ADEA)2,754,5001,622,353-1,132,14766,19153,4243.66%-12,767
INVESCO QQQ TR(Put)30,0000-30,00017,3150-17,315
THERMON GROUP HLDGS INC646,7280-646,72832,5950-32,595
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