Fund Holdings — Pacific Ridge Capital Partners, LLC

Total Portfolio Value
$550.99M
Total Bought
$67.68M
Total Sold
$91.60M
Net Transaction
-$23.91M
Filing Period:
Securities
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SharesValue ($K)
Q1 2026
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Q2 2026
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Change
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Q1 2026
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Q2 2026
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Weight (%)
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Change
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Red Robin Gourmet Burgers(RRGB)1,792,9901,779,173-13,8175,25314,2162.58%+8,962
Repay Holdings Cls A(RPAY)1,413,3772,240,738+827,3613,6759,4111.71%+5,736
Hackett Group, Inc(HCKT)67,542608,663+541,1218796,5551.19%+5,677
Versabank(VBNK)590,013585,516-4,4978,36013,5902.47%+5,229
Kelly Services Cls A(KELYA)547,245763,886+216,6414,8439,3811.70%+4,537
Twin Disc Inc(TWIN)530,566526,488-4,0787,99612,2152.22%+4,219
CPI Card Group(PMTS)466,035507,681+41,6466,76210,5501.91%+3,787
Kimball Electronics(KE)322,497439,224+116,7277,64011,2442.04%+3,604
American Integrity Insurance389,420579,444+190,0247,50810,9111.98%+3,403
MotorCar Parts of America Inc(MPAA)772,421766,467-5,9548,54311,7422.13%+3,199
Capital Bancorp(CBNK)231,286286,371+55,0856,87810,0571.83%+3,179
RCM Technologies(RCMT)285,609305,070+19,4615,4678,6121.56%+3,146
Lakeland Industries(LAKE)928,981975,881+46,9007,60810,4321.89%+2,824
J. Jill Inc(JILL)357,366417,667+60,3014,0956,6281.20%+2,533
Rimini Street Inc.(RMNI)1,913,5242,044,428+130,9046,2768,7091.58%+2,433
Heritage Insurance Hlds Inc(HRTG)405,860500,463+94,60310,65413,0522.37%+2,398
Forrester Research(FORR)710,847705,344-5,5034,0235,9321.08%+1,909
DHI Group(DHX)3,629,1273,228,701-400,42610,19811,9782.17%+1,781
Five Star Bancorp(FSBC)176,751172,850-3,9016,6678,4161.53%+1,749
Resources Connection(RGP)52,330454,533+402,2031951,9320.35%+1,737
Bankwell Financial Group(BWFG)168,000166,709-1,2918,1519,7941.78%+1,643
Natural Gas Services Group Inc(NGS)305,374303,023-2,35111,52513,0722.37%+1,548
Huron Consulting Group(HURN)016,329+16,32901,4720.27%+1,472
Northeast Bank
COM
127,534119,173-8,36114,33115,7942.87%+1,463
Park Dental(PARK)135,500172,748+37,2482,2743,7230.68%+1,449
Horizon Bancorp(HBNC)428,647425,352-3,2957,1038,4991.54%+1,396
JAKKS Pacific Inc436,939433,495-3,4448,70410,0921.83%+1,388
Hurco Companies Inc(HURC)171,061169,747-1,3142,5163,8860.71%+1,370
Commercial Banc Group(CBK)225,506223,763-1,7435,8687,2251.31%+1,358
Lifetime Brands Inc(LCUT)495,737491,911-3,8262,8464,1960.76%+1,350
Hamilton Beach Brands Hld(HBB)344,109341,468-2,6416,5217,8641.43%+1,343
Parke Bancorp(PKBK)293,439291,183-2,2568,3349,6561.75%+1,322
Grid Dynamis Hlds(GDYN)0227,680+227,68001,2930.23%+1,293
First Business Financial Servi(FBIZ)140,892139,808-1,0847,5988,8321.60%+1,233
Aviat Networks Inc(AVNW)383,241441,141+57,9008,6659,7931.78%+1,128
Bowman Consulting Grp(BWMN)245,552276,963+31,4116,9838,0871.47%+1,104
Sunrise Realty Trust(SUNS)403,035529,714+126,6793,0914,1850.76%+1,093
PAMT Corp(PAMT)194,639193,151-1,4881,6452,7060.49%+1,061
Marcus Corp(MCS)167,910166,613-1,2972,8833,9090.71%+1,026
Unity Bancorp(UNTY)158,849157,618-1,2318,2339,2511.68%+1,017
Cra Intl Inc(CRAI)2,5129,862+7,3504071,4030.25%+997
FS Bancorp(FSBW)208,094206,499-1,5958,0308,9621.63%+932
Wabash National Corp.(WNC)112,204138,996+26,7929671,8760.34%+909
NN Inc(NNBR)413,556410,352-3,2046001,4730.27%+874
Shimmick(SHIM)439,778542,440+102,6621,6142,4790.45%+865
Phoenix Education Partners(PXED)025,067+25,06708230.15%+823
Helen of Troy Corp(HELE)57,38056,727-6538271,6490.30%+822
N Able Inc(NABL)0213,722+213,72207840.14%+784
Mistras Group Inc(MG)285,274282,880-2,3944,2164,9420.90%+726
Miller Industries Inc(MLR)136,819135,738-1,0816,2326,9431.26%+711
Alpine Income Property Trust(PINE)266,320264,271-2,0494,7945,4861.00%+693
First Carolina Financial Servi052,286+52,28606920.13%+692
EPlus Inc(PLUS)10,39717,525+7,1287821,4590.26%+676
Orrstown Financial Services(ORRF)147,434146,302-1,1325,3195,9741.08%+654
Shoe Station Group(SHOE)309,480368,360+58,8804,8255,4630.99%+638
Build A Bear Workshop(BBW)215,975284,811+68,8368,0888,7181.58%+630
USCB Financial Hlds(USCB)342,320339,688-2,6326,3476,9501.26%+603
National Cinemedia(NCMI)157,395284,148+126,7534801,0800.20%+600
Gibraltar Industries(ROCK)012,896+12,89605820.11%+582
Tilly's Inc Cls A(TLYS)693,320803,638+110,3182,8083,3750.61%+567
Chiron Real Estate Inc(XRN)131,610130,529-1,0814,3544,8970.89%+544
OneSpan Inc(OSPN)71,42490,142+18,7187521,2940.23%+541
Columbus McKinnon Corp(CMCO)20,04452,197+32,1532917900.14%+499
Universal Electronics Inc(UEIC)350,900399,404+48,5041,4461,9050.35%+459
Aebi Schmidt Holding AG(AEBI)80,71394,936+14,2237841,1910.22%+408
Monro Muffler Brake Inc(MNRO)31,72651,883+20,1575098880.16%+379
Janus International group(JBI)56,758118,642+61,8842926580.12%+366
Douglas Dynamics Inc(PLOW)31,79331,437-3561,3381,6960.31%+358
Barrett Business Services Inc38,45541,121+2,6661,1221,4610.27%+339
Gbank Financial Holdings(GBFH)40,21046,602+6,3921,0761,4130.26%+336
Coastal Financial(CCB)20,39824,221+3,8231,5521,8770.34%+325
DXP Enterprises, Inc(DXPE)11,75011,619-1311,6421,9610.36%+319
Alight Cls A0561,644+561,64403150.06%+315
ConnectOne Bancorp(CNOB)49,47548,922-5531,3241,6360.30%+312
Jefferson Capital(JCAP)28,75444,395+15,6415538640.16%+311
Burke Herbert Financial Servic(BHRB)5,6509,203+3,5533526610.12%+309
ACCO Brands(ACCO)251,171248,314-2,8577541,0330.19%+279
Smith Micro Software0104,145+104,14502790.05%+279
Home Bancorp, Inc49,76647,786-1,9803,0153,2740.59%+259
Stagwell Inc(STGW)243,120240,354-2,7661,5291,7860.32%+257
First Financial Corp(THFF)18,81418,604-2101,1891,4410.26%+252
Koppers Holdings(KOP)43,48942,995-4941,6821,9300.35%+248
Bloomin Brands66,80366,045-7583616040.11%+243
DMC Global Inc(BOOM)804,618758,983-45,6354,1924,4100.80%+218
Carters(CRI)43,29842,813-4851,5481,7620.32%+214
American Coastal Insurance(ACIC)56,52774,483+17,9566368270.15%+191
Heartland Express(HTLD)40,94140,475-4664266160.11%+190
Hyster-Yale Cls A(HY)27,84331,218+3,3759051,0950.20%+189
Merchants Bancorp(MBIN)28,75328,425-3281,2341,4210.26%+187
Business First Bancshares Inc(BFST)47,38346,854-5291,2811,4400.26%+159
Caleres Inc(CAL)93,78392,712-1,0719881,1470.21%+158
Enerpac Tool Group(EPAC)8,32412,779+4,4553044580.08%+155
Ribbon Communications Inc(RBBN)246,176286,213+40,0375226700.12%+148
Core Molding Technologies(CMT)144,296143,189-1,1073,2323,3790.61%+147
Hudson Technologies(HDSN)146,930174,539+27,6098641,0020.18%+138
Designer Brands(DBI)161,496180,979+19,4839191,0550.19%+136
PC Connection(CNXN)9,8269,716-1105747090.13%+135
QCR Holdings Inc(QCRH)12,43112,290-1411,0621,1960.22%+134
California Bancorp(BCAL)42,74942,263-4867588810.16%+123
Heritage Financial(HFWA)35,02734,627-4009111,0260.19%+115
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Pacific Ridge Capital Partners, LLC — 13F Holdings — Q2 2026 | TickerTrail