Titelia

Holdings of Pacific Ridge Capital Partners, LLC

133 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 23.4 % of the equity sleeve

Sector breakdown

  • Unattributed 100.0 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 100.0 %

Shares computed on the equity sleeve.

CountryLinesValueShare
US133450.9M $100.00 %

Positions

CompanySharesValueWeight
Northeast Bank 127,53414.3M $
Alico Inc 285,33211.8M $
Natural Gas Services Group Inc 305,37411.5M $
Metropolitan Bank Holding Corp 136,78011.4M $
Heritage Insurance Holdings Inc 405,86010.7M $
DHI Group Inc 3,629,12710.2M $
American Public Education Inc 167,6519.5M $
JAKKS Pacific Inc 436,9398.7M $
Aviat Networks Inc 383,2418.7M $
NWPX Infrastructure Inc 110,1448.6M $
Motorcar Parts of America Inc 772,4218.5M $
Parke Bancorp Inc 293,4398.3M $
Unity Bancorp Inc 158,8498.2M $
Bankwell Financial Group Inc 168,0008.2M $
Build-A-Bear Workshop Inc 215,9758.1M $
FS Bancorp Inc 208,0948M $
Twin Disc Inc 530,5668M $
Kimball Electronics Inc 322,4977.6M $
Lakeland Industries Inc 928,9817.6M $
First Business Financial Services Inc 140,8927.6M $
American Integrity Insurance Group Inc 389,4207.5M $
Horizon Bancorp Inc/IN 428,6477.1M $
Bowman Consulting Group Ltd 245,5527M $
Capital Bancorp Inc 231,2866.9M $
inTEST Corp 502,2996.9M $
CPI Card Group Inc 466,0356.8M $
Five Star Bancorp 176,7516.7M $
Hamilton Beach Brands Holding Co 344,1096.5M $
Colony Bankcorp Inc 321,8486.4M $
USCB Financial Holdings Inc 342,3206.3M $
Rimini Street Inc 1,913,5246.3M $
Miller Industries Inc/TN 136,8196.2M $
Asure Software Inc 701,7786M $
Commercial Bancgroup Inc 225,5065.9M $
RCM Technologies Inc 285,6095.5M $
Orrstown Financial Services Inc 147,4345.3M $
Red Robin Gourmet Burgers Inc 1,792,9905.3M $
Kelly Services Inc 547,2454.8M $
Shoe Carnival Inc 309,4804.8M $
Alpine Income Property Trust Inc 266,3204.8M $
Amtech Systems Inc 405,3714.7M $
Chiron Real Estate Inc 131,6104.4M $
Mistras Group Inc 285,2744.2M $
DMC Global Inc 804,6184.2M $
Riverview Bancorp Inc 755,3554.2M $
J Jill Inc 357,3664.1M $
Forrester Research Inc 710,8474M $
Acacia Research Corp 817,2423.9M $
Repay Holdings Corp 1,413,3773.7M $
Cooper-Standard Holdings Inc 131,4403.7M $
Core Molding Technologies Inc 144,2963.2M $
Sleep Number Corp 1,767,4453.2M $
Sensus Healthcare Inc 796,0723.2M $
Sunrise Realty Trust Inc 403,0353.1M $
Home Bancorp Inc 49,7663M $
Marcus Corp/The 167,9102.9M $
Lifetime Brands Inc 495,7372.8M $
Tilly's Inc 693,3202.8M $
Silvercrest Asset Management Group Inc 206,6862.8M $
GENASYS INC 1,452,1592.6M $
Hurco Cos Inc 171,0612.5M $
BGSF Inc 384,0372.5M $
PARK DENTAL PARTNERS INC 135,5002.3M $
Photronics Inc 51,6412.1M $
Perdoceo Education Corp 54,8452M $
Healthcare Services Group Inc 98,7811.8M $
Pathward Financial Inc 19,7401.8M $
Koppers Holdings Inc 43,4891.7M $
PAMT CORP 194,6391.6M $
DXP Enterprises Inc/TX 11,7501.6M $
SHIMMICK CORP 439,7781.6M $
Coastal Financial Corp/WA 20,3981.6M $
Carter's Inc 43,2981.5M $
Comtech Telecommunications Corp 463,7841.5M $
Stagwell Inc 243,1201.5M $
Universal Electronics Inc 350,9001.4M $
Cohu Inc 45,9901.4M $
Douglas Dynamics Inc 31,7931.3M $
ConnectOne Bancorp Inc 49,4751.3M $
Business First Bancshares Inc 47,3831.3M $
Bridgewater Bancshares Inc 72,0171.3M $
Merchants Bancorp/IN 28,7531.2M $
First Financial Corp 18,8141.2M $
Penguin Solutions Inc 66,2721.2M $
Barrett Business Services Inc 38,4551.1M $
GBank Financial Holdings Inc 40,2101.1M $
QCR Holdings Inc 12,4311.1M $
Ennis Inc 48,5781M $
Caleres Inc 93,783988.5K $
Wabash National Corp 112,204967.2K $
Benchmark Electronics Inc 16,779940.6K $
Designer Brands Inc 161,496918.9K $
Daktronics Inc 46,811915.2K $
Heritage Financial Corp/WA 35,027910.7K $
Hyster-Yale Inc 27,843905.2K $
Hackett Group Inc/The 67,542878.7K $
Hudson Technologies Inc 146,930863.9K $
ePlus Inc 10,397782.4K $
PRA Group Inc 44,020770.4K $
Customers Bancorp Inc 10,959760.7K $