Fund HoldingsHEARTLAND ADVISORS INC

Total Portfolio Value
$1.96B
Total Bought
$325.50M
Total Sold
$268.49M
Net Transaction
+$57.01M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
TELEFLEX INCORPORATED(TFX)0215,998+215,998025,8361.32%+25,836
MURPHY USA INC(MUSA)024,049+24,049011,8790.61%+11,879
GETTY RLTY CORP NEW(GTY)0350,000+350,000011,1300.57%+11,130
LXP INDUSTRIAL TRUST(LXP)0231,400+231,400010,7050.55%+10,705
ADTRAN HOLDINGS INC0750,000+750,00009,4350.48%+9,435
DENTSPLY SIRONA INC(XRAY)0953,250+953,250011,0580.56%+11,058
KEYSIGHT TECHNOLOGIES INC(KEYS)12,00040,676+28,6762,43811,4860.59%+9,047
PRIMO BRANDS CORPORATION(PRMB)477,100875,411+398,3117,80116,4840.84%+8,683
COLUMBIA SPORTSWEAR CO(COLM)78,689235,091+156,4024,33512,8850.66%+8,550
SONIC AUTOMOTIVE INC(SAH)0123,225+123,22508,4500.43%+8,450
NICOLET BANKSHARES INC055,758+55,75808,2870.42%+8,287
UNITIL CORP(UTL)0150,000+150,00007,8360.40%+7,836
CENTERRA GOLD INC(CGAU)2,201,4502,216,216+14,76631,63539,4262.01%+7,792
SHOALS TECHNOLOGIES GROUP IN(SHLS)01,056,175+1,056,17506,9500.35%+6,950
SLB LIMITED(SLB)0129,428+129,42806,6510.34%+6,651
CHOICE HOTELS INTL INC(CHH)062,336+62,33606,4520.33%+6,452
ARCBEST CORP(ARCB)60,000110,000+50,0004,45110,8200.55%+6,368
ENCORE CAP GROUP INC(ECPG)385,830388,425+2,59520,97027,2361.39%+6,267
QUINSTREET INC(QNST)0500,000+500,00006,0050.31%+6,005
MAGNOLIA OIL & GAS CORP(MGY)651,249630,475-20,77414,25619,9041.02%+5,648
ALGONQUIN POWER & UTILITIES500,0001,392,030+892,0303,0758,5470.44%+5,472
MILLER INDS INC TENN0120,000+120,00005,4660.28%+5,466
NOV INC(NOV)1,089,1901,194,332+105,14217,02422,4651.15%+5,441
SANMINA CORP(SANM)040,000+40,00005,1860.26%+5,186
EOG RES INC(EOG)0146,790+146,790021,2211.08%+21,221
VIPER ENERGY INC(VNOM)514,226530,479+16,25319,86524,9271.27%+5,063
MSA SAFETY INC(MSA)029,129+29,12904,7760.24%+4,776
CAMDEN PPTY TR(CPT)0187,125+187,125018,2750.93%+18,275
KINDER MORGAN INC DEL(KMI)182,040282,733+100,6935,0049,4800.48%+4,476
MARKETAXESS HLDGS INC(MKTX)28,42158,334+29,9135,1519,6240.49%+4,473
EZCORP INC(EZPW)705,906705,906013,70917,9160.91%+4,207
EXELON CORP(EXC)0437,424+437,424021,4431.09%+21,443
ICHOR HOLDINGS
SHS
300,000200,000-100,0005,5299,3220.48%+3,793
WATERS CORP(WAT)012,461+12,46103,7110.19%+3,711
WATSCO INC(WSO)45,15151,593+6,44215,21418,7690.96%+3,555
INNOVEX INTERNATIONAL INC(INVX)300,000407,332+107,3326,5619,9350.51%+3,374
NATIONAL RESH CORP50,000237,147+187,1479394,0270.21%+3,088
SILICON MOTION TECHNOLOGY CO(SIMO)0252,084+252,084028,3071.44%+28,307
IDEX CORP(IEX)016,108+16,10803,0530.16%+3,053
PPG INDS INC(PPG)064,765+64,76506,9220.35%+6,922
OXFORD INDS INC0211,093+211,09308,1290.41%+8,129
ON SEMICONDUCTOR CORP(ON)107,953140,942+32,9895,8468,7270.45%+2,881
INTEGER HLDGS CORP(ITGR)242,715247,977+5,26219,03621,8221.11%+2,786
PHOTRONICS INC(PLAB)385,150370,675-14,47512,32514,9790.76%+2,654
CARLISLE COS INC(CSL)8,28915,644+7,3552,6515,2190.27%+2,568
CUSTOM TRUCK ONE SOURCE INC(CTOS)01,000,000+1,000,00006,5700.34%+6,570
CORE LABORATORIES INC0150,000+150,00002,5190.13%+2,519
INGREDION INC(INGR)55,01575,877+20,8626,0668,5480.44%+2,482
FIDELITY NATL INFORMATION SV(FIS)082,174+82,17403,8550.20%+3,855
ASTEC INDS INC0228,925+228,925012,3250.63%+12,325
ACADEMY SPORTS & OUTDOORS IN(ASO)325,247329,350+4,10316,24918,5920.95%+2,342
NEOGEN CORP(NEOG)1,000,0001,000,00006,9909,2900.47%+2,300
GATES INDL CORP PLC
ORD SHS
0803,365+803,365018,1640.93%+18,164
SYSCO CORP(SYY)0190,561+190,561013,5930.69%+13,593
ROYALTY PHARMA PLC(RPRX)213,989214,398+4098,26910,2850.52%+2,016
CENTENE CORP DEL(CNC)0125,754+125,75404,1170.21%+4,117
ARCTURUS THERAPEUTICS HLDGS0256,000+256,00001,9760.10%+1,976
WYNDHAM HOTELS & RESORTS INC(WH)37,61259,068+21,4562,8424,7980.24%+1,956
BIRCHTECH CORP01,000,000+1,000,00001,9000.10%+1,900
ROBERT HALF INC.(RHI)0172,644+172,64404,3850.22%+4,385
TETRA TECHNOLOGIES INC DEL(TTI)363,150613,800+250,6503,4035,2300.27%+1,827
FIRST INTERNET BANCORP0384,900+384,90007,8440.40%+7,844
SOUTHWEST AIRLS CO(LUV)102,436160,304+57,8684,2346,0230.31%+1,789
PAPA JOHNS INTL INC(PZZA)0239,850+239,85007,7740.40%+7,774
RAYMOND JAMES FINL INC(RJF)032,842+32,84204,7550.24%+4,755
LITTELFUSE INC(LFUS)29,45026,835-2,6157,4489,1060.46%+1,658
HUNT J B TRANS SVCS INC(JBHT)90,58890,900+31217,60519,2620.98%+1,657
TYLER TECHNOLOGIES INC(TYL)04,562+4,56201,5620.08%+1,562
ARCH CAP GROUP LTD
ORD
87,678103,497+15,8198,4109,9350.51%+1,525
PHINIA INC(PHIN)257,000257,333+33316,11117,6120.90%+1,501
ISHARES TR053,327+53,32705,2940.27%+5,294
PACKAGING CORP AMER(PKG)39,14544,805+5,6608,0739,5090.49%+1,436
SENSATA TECHNOLOGIES HLDG PL
SHS
204,500233,325+28,8256,8088,2180.42%+1,410
CASS INFORMATION SYS INC465,039470,524+5,48519,30820,7121.06%+1,404
SANFILIPPO JOHN B & SON INC(JBSS)59,00070,000+11,0004,1655,5530.28%+1,388
GENERAC HLDGS INC(GNRC)021,420+21,42004,1840.21%+4,184
BANK OF MARIN BANCORP199,570250,000+50,4305,1916,4080.33%+1,217
MARCUS CORP DEL0255,000+255,00004,3780.22%+4,378
MARTEN TRANS LTD(MRTN)0350,000+350,00004,5960.23%+4,596
HEXCEL CORP NEW(HXL)166,287166,315+2812,28913,4600.69%+1,171
PRIMORIS SVCS CORP(PRIM)060,000+60,00008,5820.44%+8,582
EXXON MOBIL CORP016,493+16,49302,7980.14%+2,798
SONOCO PRODS CO(SON)0100,000+100,00005,4090.28%+5,409
KIRBY CORP(KEX)44,75544,772+174,9315,9490.30%+1,018
SUNCOR ENERGY INC NEW(SU)046,564+46,56403,0780.16%+3,078
PARK DENTAL PARTNERS INC152,500189,539+37,0392,2513,1800.16%+930
ENVISTA HOLDINGS CORPORATION(NVST)0402,353+402,353010,2080.52%+10,208
JOHNSON & JOHNSON(JNJ)22,46422,618+1544,6495,5290.28%+880
RH(RH)035,000+35,00004,8940.25%+4,894
LATTICE SEMICONDUCTOR CORP(LSCC)064,367+64,36705,9710.30%+5,971
AUDIOCODES LTD0965,734+965,73408,1220.41%+8,122
QUEST DIAGNOSTICS INC(DGX)046,986+46,98609,2080.47%+9,208
HERSHEY CO(HSY)088,864+88,864018,4740.94%+18,474
COMMUNITY TR BANCORP INC(CTBI)0169,350+169,350010,2830.52%+10,283
ONE GAS INC(OGS)080,438+80,43806,9280.35%+6,928
MATADOR RES CO(MTDR)210,179152,283-57,8968,9209,6210.49%+701
CARRIAGE SVCS INC0207,300+207,30009,4650.48%+9,465
KNIFE RIVER CORP(KNF)060,000+60,00004,8990.25%+4,899
MATERION CORP(MTRN)048,352+48,35206,9940.36%+6,994
APPLIED MATLS INC7,7807,803+231,9992,6670.14%+668
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