Fund Holdings — Prescott General Partners LLC

Total Portfolio Value
$1.73B
Total Bought
$0
Total Sold
$13.11M
Net Transaction
-$13.11M
Filing Period:
Securities
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SharesValue ($K)
Q3 2023
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Q4 2023
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Change
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Q3 2023
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Q4 2023
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Weight (%)
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Change
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CREDIT ACCEP CORP MICH(CACC)1,560,0141,560,0140717,794831,06647.92%+113,273
CIMPRESS PLC(CMPR)3,906,4923,906,4920273,494312,71518.03%+39,221
WORLD ACCEP CORP DEL(WRLD)2,037,4952,037,4950258,884265,95415.33%+7,070
GLOBAL INDUSTRIAL COMPANY1,071,2221,071,222035,88641,6062.40%+5,720
YELP INC(YELP)918,446918,446038,19843,4792.51%+5,281
WAYFAIR INC(W)3,823,2393,823,2390231,574235,89413.60%+4,320
HUMACYTE INC(HUMA)568,246568,24601,6651,6140.09%-51
AGEX THEREPEUTICS INC185,185185,1850126710.00%-55
LINEAGE CELL THERAPEUTICS IN(LCTX)1,851,8511,851,85102,1852,0190.12%-167
GRINDR INC(GRND)2,280,6040-2,280,60413,1130—-13,113
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Prescott General Partners LLC — 13F Holdings — Q4 2023 | TickerTrail