Fund Holdings — Teton Advisors, Inc.

Total Portfolio Value
$164.33M
Total Bought
$6.26M
Total Sold
$14.19M
Net Transaction
-$7.93M
Filing Period:
Securities
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SharesValue ($K)
Q1 2025
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Q2 2025
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Change
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Q1 2025
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Q2 2025
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Weight (%)
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Change
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STRATTEC SECURITY CORP(STRT)022,600+22,60001,4060.86%+1,406
INNOVATIVE SOLUTIONS & SUPP(IA)137,000142,000+5,0008621,9711.20%+1,109
ALLIENT INC68,60070,000+1,4001,5082,5421.55%+1,034
DUCOMMUN INC(DCO)110,20086,500-23,7006,3957,1474.35%+753
MYERS INDUSTRIES INC(MYE)347,500327,000-20,5004,1464,7382.88%+593
GRAHAM CORP(GHM)44,00035,400-8,6001,2681,7531.07%+485
ARLO TECHNOLOGIES INC(ARLO)62,00062,00006121,0520.64%+440
GENCOR INDUSTRIES INC(GENC)262,100257,400-4,7003,1873,6042.19%+416
ULTRALIFE CORP(ULBI)110,700110,200-5005969900.60%+394
ATLANTIC UNION BANKSHARES CO(AUB)22,20033,500+11,3006911,0480.64%+357
EXELIXIS INC(EXEL)53,20052,200-1,0001,9642,3011.40%+337
HANOVER BANCORP INC(HNVR)014,000+14,00003200.20%+320
FOSTER (LB) CO-A(FSTR)150,734149,837-8972,9663,2771.99%+310
MYR GROUP INC/DELAWARE(MYRG)7,0006,000-1,0007921,0890.66%+297
KRATOS DEFENSE & SECURITY(KTOS)06,000+6,00002790.17%+279
MICROCHIP TECHNOLOGY INC 7.500 03/15/28 CVT(MCHP)04,000+4,00002670.16%+267
TXNM ENERGY INC 5.750 06/01/54 CVT(TXNM)00002600.16%+260
GRAY MEDIA INC-A(GTN)87,00087,00006869450.57%+259
GOLDEN ENTERTAINMENT INC99,50098,000-1,5002,6262,8841.76%+258
ALIBABA GROUP HOLDING 0.500 06/01/31 CVT(BABA)00002550.16%+255
MKS INC 1.250 06/01/30 CVT(MKSI)00002470.15%+247
TITAN MACHINERY INC(TITN)86,00086,00001,4651,7041.04%+238
EVOLENT HEALTH INC 3.500 12/01/29 CVT(EVH)00002340.14%+234
LUMENTUM HOLDINGS INC 1.500 12/15/29 CVT(LITE)00002310.14%+231
SHIFT4 PAYMENTS INC 6.000 05/01/28 CVT(FOUR)02,000+2,00002300.14%+230
KKR & CO INC 6.250 03/01/28 SR:D CVT(KKR)04,000+4,00002140.13%+214
CALAVO GROWERS INC75,80076,000+2001,8182,0211.23%+202
READING INTERNATIONAL INC-B(RDI)75,03075,03005277270.44%+200
CAPITAL CITY BANK GROUP INC(CCBG)72,90071,500-1,4002,6212,8141.71%+192
RGC RESOURCES INC(RGCO)95,13097,130+2,0001,9852,1741.32%+188
STANDARD MOTOR PRODS(SMP)32,50032,50008109980.61%+188
NIAGEN BIOSCIENCE INC(NAGE)25,00025,00001733600.22%+188
SKYWATER TECHNOLOGY INC65,48465,48404646440.39%+180
BADGER METER INC3,2503,25006187960.48%+178
SPORTSMAN'S WAREHOUSE HOLDIN(SPWH)61,00065,500+4,500612260.14%+165
INFUSYSTEM HOLDINGS INC(INFU)190,000190,00001,0221,1860.72%+163
HAWKINS INC(HWKN)4,5004,50004776390.39%+163
FEDERAL SIGNAL CORP(FSS)6,3005,800-5004636170.38%+154
MITEK SYSTEMS INC(MITK)111,000108,000-3,0009161,0690.65%+153
CONSOLIDATED WATER CO-ORD SH
ORD
34,20032,500-1,7008389760.59%+138
OPENLANE INC(OPLN)30,00029,000-1,0005787090.43%+131
TREDEGAR CORP(TG)119,800119,500-3009221,0520.64%+129
ASTRONICS CORP157,000117,000-40,0003,7953,9172.38%+122
KIMBALL ELECTRONICS INC(KE)30,00032,000+2,0004946150.37%+122
CARDLYTICS INC 4.250 04/01/29 CVT(CDLX)00001140.07%+114
ASTEC INDUSTRIES INC71,00061,400-9,6002,4462,5601.56%+114
CORE MOLDING TECHNOLOGIES IN(CMT)93,89092,690-1,2001,4271,5380.94%+111
TWIN DISC INC(TWIN)100,50098,500-2,0007618700.53%+109
A10 NETWORKS INC36,00036,00005886970.42%+108
OIL-DRI CORP OF AMERICA(ODC)17,00015,000-2,0007818850.54%+104
AMPCO-PITTSBURGH CORP112,000112,00002433320.20%+88
TEJON RANCH CO(TRC)84,50084,000-5001,3391,4250.87%+85
GRANITE CONSTRUCTION INC(GVA)4,7004,70003544390.27%+85
PITNEY BOWES INC(PBI)45,00045,00004074910.30%+84
FNB CORP(FNB)71,00071,00009551,0350.63%+80
WILLDAN GROUP INC(WLDN)15,00011,000-4,0006116880.42%+77
DHI GROUP INC(DHX)45,00045,0000631340.08%+71
PARK AEROSPACE CORP(PKE)58,00057,500-5007808490.52%+69
MODINE MANUFACTURING CO(MOD)3,0003,00002302960.18%+65
DIGI INTERNATIONAL INC(DGII)8,0008,00002232790.17%+56
HP ENTERPRISE CO 7.625 09/01/27 CVT(HPE)5,0005,00002392940.18%+56
RED VIOLET INC(RDVT)9,0008,000-1,0003383940.24%+55
STONERIDGE INC(SRI)32,50029,000-3,5001492040.12%+55
GARRETT MOTION INC(GTX)50,00045,000-5,0004194730.29%+54
MANITOWOC COMPANY INC(MTW)15,50015,50001331860.11%+53
RENASANT CORP25,53025,53008669170.56%+51
ULTRA CLEAN HOLDINGS INC(UCTT)43,50043,50009319820.60%+50
FLUOR CORP 1.125 08/15/29 CVT(FLR)0002122620.16%+50
I3 VERTICALS INC-CLASS A(IIIV)37,00035,000-2,0009139620.59%+49
GORMAN-RUPP CO(GRC)48,00047,200-8001,6851,7331.05%+48
IMAX CORP30,00030,00007918390.51%+48
KKR & CO INC(KKR)18,00016,000-2,0002,0812,1281.30%+48
UBER TECHNOLOGIES INC 0.875 12/01/28 SR:2028 CVT(UBER)0002432860.17%+42
MSA SAFETY INC(MSA)5,1004,700-4007487870.48%+39
NORTHRIM BANCORP INC(NRIM)3,8003,400-4002783170.19%+39
TITAN INTERNATIONAL INC(TWI)20,50020,50001722110.13%+39
LIBERTY MEDIA CORP 2.250 08/15/27 CVT(FWONA)0003674030.24%+35
ARKO CORP125,000125,00004945290.32%+35
BLOOM ENERGY CORP 3.000 06/01/28 CVT(BE)0002622970.18%+34
CAESARS ENTERTAINMENT INC(CZR)8,5008,50002132410.15%+29
ARTESIAN RESOURCES CORP-CL A31,32031,32001,0231,0510.64%+29
FARMERS NATL BANC CORP(FMNB)37,80037,80004935210.32%+28
NABORS INDUSTRIES INC 1.750 06/15/29 CVT(NBR)0002032310.14%+28
DENNY'S CORP51,00051,00001872090.13%+22
WATERSTONE FINANCIAL INC(WSBF)59,00059,00007948150.50%+21
PROGRESS SOFTWARE CORP 3.500 03/01/30 CVT(PRGS)0002112320.14%+21
CSG SYSTEMS INTERNATIONA 3.875 09/15/28 CVT
NOTE
0004334530.28%+20
PARSONS CORP 2.625 03/01/29 CVT(PSN)0003003200.19%+19
STRATASYS LTD(SSYS)10,00010,0000981150.07%+17
MOVADO GROUP INC(MOV)51,10057,100+6,0008548710.53%+16
PRIMIS FINANCIAL CORP(FRST)15,00015,00001471630.10%+16
VALUE LINE INC(VALU)31,30031,30001,2101,2250.75%+15
COMMERCIAL VEHICLE GROUP INC(CVGI)50,62843,728-6,90058730.04%+14
UNITED BANKSHARES INC(UBSI)7,4007,40002572700.16%+13
MARINE PRODUCTS CORP246,000244,000-2,0002,0642,0761.26%+13
STERIS PLC(STE)90090002042160.13%+12
LANDS' END INC(LE)23,00023,00002342460.15%+12
BIG 5 SPORTING GOODS CORP17,50020,000+2,50017280.02%+11
TYLER TECHNOLOGIES INC(TYL)1,0001,00005815930.36%+11
ATLANTIC AMERICAN CORP19,20019,000-20033400.02%+8
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Teton Advisors, Inc. — 13F Holdings — Q2 2025 | TickerTrail