Fund HoldingsJackson Creek Investment Advisors LLC

Total Portfolio Value
$339.5K
Total Bought
$126.0K
Total Sold
$147.9K
Net Transaction
-$21.9K
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Patterson-UTI Energy Inc(PTEN)0228,182+228,182020.73%+2
Northern Oil & Gas Inc(NOG)075,795+75,795020.65%+2
Element Solutions Inc(ESI)064,116+64,116020.64%+2
Indivior Pharmaceuticals Inc(INDV)069,550+69,550020.62%+2
Roku Inc Cl A(ROKU)022,020+22,020020.61%+2
Gigacloud Technology Inc Class(GCT)042,473+42,473020.57%+2
Theravance Biopharma Inc(TBPH)0118,560+118,560020.57%+2
Globus Med Inc Cl A(GMED)022,321+22,321020.57%+2
Plexus Corp(PLXS)09,425+9,425020.56%+2
Deluxe Corp MTN(DLX)069,176+69,176020.56%+2
Associated Banc-Corp072,111+72,111020.55%+2
Cno Financial Group Inc045,332+45,332020.55%+2
Northwest Nat Holding Co(NWN)034,878+34,878020.55%+2
Minerals Technologies Inc(MTX)026,145+26,145020.55%+2
Compass Minerals Intl Inc(CMP)078,550+78,550020.54%+2
Carters Inc(CRI)051,188+51,188020.54%+2
AZZ Inc014,578+14,578020.54%+2
Constellium SE Cl A(CSTM)073,664+73,664020.53%+2
Cirrus Logic Inc(CRUS)018,183+18,183030.77%+3
Mueller Water Products Inc Ser(MWA)064,810+64,810020.52%+2
Trinity Industries Inc(TRN)054,741+54,741020.52%+2
Kennametal Inc(KMT)15,50960,577+45,068020.64%+2
Douglas Dynamics Inc(PLOW)041,403+41,403020.51%+2
Phibro Animal Health Corp Cl A(PAHC)038,486+38,486020.63%+2
Simmons First National Corp Cl(SFNC)089,142+89,142020.51%+2
ePlus Inc(PLUS)022,929+22,929020.51%+2
Atlantic Un Bankshares Corp(AUB)048,213+48,213020.51%+2
Curbline Properties Corp(CURB)066,048+66,048020.50%+2
Sally Beauty Holdings Inc0120,914+120,914020.49%+2
Atmus Filtration Technologies(ATMU)029,444+29,444020.49%+2
Adient PLC(ADNT)079,350+79,350020.47%+2
Littelfuse Inc(LFUS)04,595+4,595020.46%+2
Aramark(ARMK)038,235+38,235020.46%+2
Albemarle Corp(ALB)08,590+8,590020.45%+2
RenaissanceRe Holdings Ltd(RNR)05,060+5,060020.44%+2
V2x Inc(VVX)027,798+27,798020.56%+2
Catalyst Pharmaceuticals Inc(CPRX)19,82477,304+57,480020.56%+1
Everforth Inc037,313+37,313010.43%+1
Davita Inc(DVA)09,320+9,320010.42%+1
Jazz Pharmaceuticals PLC USD(JAZZ)07,510+7,510010.42%+1
Patria Investments Limited Cl
COM CL A
0111,728+111,728010.41%+1
Strategic Ed Inc(STRA)016,920+16,920010.41%+1
Central Garden & Pet Co Cl A N(CENT)054,329+54,329020.52%+2
Lear Corp New(LEA)011,340+11,340010.40%+1
Viper Energy Inc Cl A(VNOM)029,200+29,200010.40%+1
Columbia Sportswear Co(COLM)024,904+24,904010.40%+1
Liveramp Holdings Inc(RAMP)066,648+66,648020.52%+2
Pinnacle West Cap Corp(PNW)013,340+13,340010.40%+1
Bread Financial Holdings Inc017,910+17,910010.39%+1
Crocs Inc(CROX)016,068+16,068010.39%+1
AECOM(ACM)015,620+15,620010.39%+1
Netstreit Corp(NTST)069,720+69,720010.39%+1
Federal Signal Corp(FSS)011,930+11,930010.38%+1
Msa Safety Inc(MSA)07,852+7,852010.38%+1
Reinsurance Group America Inc(RGA)06,290+6,290010.38%+1
Flowco Holdings Inc Cl A(FLOC)061,890+61,890010.38%+1
Bill Holdings Inc033,096+33,096010.37%+1
Encompass Health Corp(EHC)018,154+18,154020.52%+2
CACI International Inc Cl A(CACI)02,280+2,280010.37%+1
Expedia Group Inc New(EXPE)05,128+5,128010.35%+1
Argan Inc05,664+5,664030.91%+3
Biogen Inc(BIIB)05,662+5,662010.31%+1
AT&T Inc(T)034,450+34,450010.29%+1
California Resources Corp Stoc(CRC)036,498+36,498030.74%+3
Permian Resources Corp Class A(PR)040,337+40,337010.25%+1
Dolby Laboratories Inc Cl A(DLB)013,752+13,752010.24%+1
QuinStreet Inc(QNST)0171,408+171,408020.61%+2
DHT Holdings Inc New(DHT)135,212130,946-4,266220.70%+1
Allstate Corp(ALL)03,239+3,239010.20%+1
Tyson Foods Inc Cl A(TSN)010,149+10,149010.19%+1
Maplebear Inc(CART)039,300+39,300010.43%+1
Target Corp(TGT)04,882+4,882010.17%+1
Portland Gen Elec Co New(POR)28,78036,839+8,059120.57%+1
Mitek Systems Inc New041,426+41,426010.16%+1
Calumet Inc(CLMT)014,828+14,828010.16%+1
Nextpower Inc Class A018,313+18,313020.65%+2
Cg Oncology Inc(CGON)07,815+7,815010.16%+1
Prothena Corp PLC
SHS
054,089+54,089010.15%+1
Franklin Resources Inc(BEN)076,834+76,834020.53%+2
MKS Inc(MKSI)02,221+2,221010.15%+1
Bridgebio Pharma Inc(BBIO)06,806+6,806010.15%+1
Technipfmc PLC(FTI)59,69345,672-14,021330.93%0
Pitney Bowes Inc(PBI)044,373+44,373000.14%0
Virtu Financial Inc Cl A(VIRT)050,219+50,219020.65%+2
WisdomTree Inc(WT)032,840+32,840000.14%0
Constellation Brands Inc Cl A(STZ)03,183+3,183000.14%0
Vestis Corporation(VSTS)060,536+60,536000.14%0
Okta Inc Cl A(OKTA)06,026+6,026000.14%0
Zymeworks Inc(ZYME)018,695+18,695000.14%0
Alkermes PLC(ALKS)013,201+13,201000.14%0
ESCO Technologies Inc(ESE)01,656+1,656000.14%0
Nwpx Infrastructure Inc Com(NWPX)05,923+5,923000.14%0
Nucor Corp(NUE)02,708+2,708000.13%0
Blue Bird Corp08,009+8,009000.13%0
S&T Bancorp Inc(STBA)010,722+10,722000.13%0
Alcoa Corp(AA)30,58031,251+671220.61%0
Benchmark Electronics Inc(BHE)07,949+7,949000.13%0
Spectrum Brands Holdings Inc(SPB)06,013+6,013000.13%0
Origin Bancorp Inc(OBK)010,572+10,572000.13%0
MaxLinear Inc(MXL)025,137+25,137000.13%0
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