Fund HoldingsJuniper Investment Company, LLC

Total Portfolio Value
$377.47M
Total Bought
$14.53M
Total Sold
$39.06M
Net Transaction
-$24.53M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ALLIENT INC795,922762,305-33,61747,03178,46420.79%+31,433
ASTRONOVA INC(ALOT)535,203535,20304,91915,2374.04%+10,319
TWIN DISC INC(TWIN)1,024,9541,024,954015,44623,7796.30%+8,333
LINCOLN EDL SVCS CORP(LINC)1,938,3111,732,966-205,34578,85086,47522.91%+7,625
LSI INDS INC OHIO(LYTS)770,749781,399+10,65014,33620,7705.50%+6,434
BIOVENTUS INC(BVS)6,939,3576,939,357063,35665,50817.35%+2,151
ARTIVION INC(AORT)1,189,1362,019,885+830,74943,54645,38712.02%+1,841
MISTRAS GROUP INC(MG)061,138+61,13801,0680.28%+1,068
BOSTON SCIENTIFIC CORP(BSX)04,100+4,10001750.05%+175
ORTHOFIX MED INC(OFIX)3,976,9594,442,543+465,58445,61640,60510.76%-5,011
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