Fund Holdings — Juniper Investment Company, LLC

Total Portfolio Value
$188.09M
Total Bought
$6.52M
Total Sold
$7.46M
Net Transaction
-$944.6K
Filing Period:
Securities
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SharesValue ($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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BIOVENTUS INC(BVS)6,833,8576,833,857022,55236,01419.15%+13,463
LINCOLN EDL SVCS CORP(LINC)3,969,5343,969,534033,54339,85421.19%+6,312
ARTIVION INC(AORT)2,098,1642,098,164031,80837,51519.95%+5,707
VSE CORP(VSEC)362,363364,329+1,96618,27823,53912.52%+5,262
TWIN DISC INC(TWIN)1,035,0731,024,954-10,11914,20116,5638.81%+2,362
ASTRONOVA INC(ALOT)535,203535,20306,6908,7024.63%+2,012
LSI INDS INC OHIO(LYTS)063,874+63,87408990.48%+899
ALLIENT INC671,973675,973+4,00020,77720,42110.86%-356
HURCO CO(HURC)33,8800-33,8807600—-760
TRANSCAT INC(TRNS)52,08227,332-24,7505,1022,9881.59%-2,114
INTEST CORP(INTT)251,461116,837-134,6243,8151,5890.84%-2,226
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