Bridge City Capital, Llc

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$360.8M
Q ending 2026-03-31
Prior quarter
$340.2M
Q ending 2025-12-31
Change
+6.0% QoQ · +8.2% YoY
Positions
108
reported holdings

Largest positions

Top 100 of 108 reported positions by value, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
HoldingTickerTypeValueShares
Ensign Group IncENSGShares$11.9M59K
Sterling Infrastructure IncSTRLShares$11.4M28K
Rbc Bearings IncRBCShares$9.9M18K
A10 Networks IncATENShares$9.3M401K
Onto Innovation IncONTOShares$9.3M45K
Pacira Biosciences IncPCRXShares$9.1M403K
Diodes IncDIODShares$8.0M118K
Lemaitre Vascular IncLMATShares$7.7M70K
Modine Manufacturing CoMODShares$7.5M35K
Glacier Bancorp IncGBCIShares$7.4M165K
Addus Homecare CorpADUSShares$7.2M77K
Iradimed CorpIRMDShares$7.0M73K
Amphastar Pharmaceuticals IncAMPHShares$6.6M335K
Macom Tech Solutions HoldingsMTSIShares$6.3M28K
Kulicke & Soffa Industries IncKLICShares$6.2M94K
Badger Meter IncBMIShares$6.0M40K
Osi Systems IncOSISShares$6.0M23K
Century Communities IncCCSShares$5.8M100K
Globus Med IncGMEDShares$5.7M66K
Aci Worldwide IncACIWShares$5.7M138K
Siteone Landscape Supply IncSITEShares$5.5M42K
Cra Intl IncCRAIShares$5.5M34K
Eplus IncPLUSShares$5.1M68K
Ultra Clean Holdings IncUCTTShares$5.1M81K
Lithia Motors IncLADShares$5.0M20K
Select Water Solutions IncWTTRShares$4.9M323K
Dorman Prods IncDORMShares$4.9M47K
Innovex International IncINVXShares$4.1M167K
Us Physical TherapyUSPHShares$4.0M53K
Catalyst Pharmaceuticals IncShares$3.9M156K
Ufp Technologies IncUFPTShares$3.8M20K
Landstar Systems IncLSTRShares$3.8M24K
FabrinetShares$3.5M7K
Albany Intl CorpAINShares$3.5M66K
Pdf Solutions IncPDFSShares$3.3M101K
Supernus PharmaceuticalsSUPNShares$3.3M63K
Ufp Industries IncUFPIShares$3.2M35K
Donnelley Financial SolutionsDFINShares$3.2M68K
Cactus IncWHDShares$3.2M68K
Evercore IncEVRShares$3.2M11K
Pediatrix Medical Group IncMDShares$3.2M149K
Insteel Industries IncIIINShares$3.2M95K
Exlservice Holdings IncEXLSShares$3.2M104K
Krystal Biotech IncKRYSShares$3.1M12K
Tg Therapeutics IncTGTXShares$3.0M91K
Grand Canyon Ed IncLOPEShares$3.0M18K
Epam Systems IncEPAMShares$2.9M22K
First Financial Bankshares IncFFINShares$2.9M98K
Wesbanco IncWSBCShares$2.8M82K
Ollies Bargain Outlet HoldingsOLLIShares$2.8M30K
Credo Technology Group HoldingShares$2.7M29K
Nve CorpNVECShares$2.7M41K
Exponent IncEXPOShares$2.7M41K
Hawkins IncHWKNShares$2.7M18K
Liveramp Holdings IncRAMPShares$2.6M100K
Healthcare Services Group IncHCSGShares$2.6M143K
National Healthcare CorpNHCShares$2.6M16K
Yeti Holdings IncYETIShares$2.6M70K
Vishay Precision Group IncVPGShares$2.5M58K
Cognex CorpCGNXShares$2.5M51K
Texas Roadhouse IncTXRHShares$2.5M15K
Franklin Electric IncFELEShares$2.4M27K
J & J Snack Foods CorpJJSFShares$2.4M31K
Barrett Business Services IncBBSIShares$2.4M83K
Napco Security Technologies InNSSCShares$2.3M59K
Getty Realty CorpGTYShares$2.2M70K
Corcept Therapeutics IncCORTShares$2.2M55K
Quaker HoughtonKWRShares$2.2M18K
Plexus CorpPLXSShares$2.1M10K
La-Z-Boy IncLZBShares$2.1M65K
Myr Group IncMYRGShares$2.0M7K
Evertec IncEVTCShares$2.0M72K
Power Solutions Intl IncPSIXShares$2.0M33K
Maximus IncMMSShares$1.9M30K
OmnicellOMCLShares$1.9M57K
Pennant Group IncPNTGShares$1.9M61K
Consensus Cloud Solutions IncCCSIShares$1.8M78K
Hope Bancorp IncHOPEShares$1.8M164K
Conmed CorpCNMDShares$1.8M52K
Gentherm IncTHRMShares$1.8M65K
Vericel CorpVCELShares$1.8M55K
Lakeland Financial CorpLKFNShares$1.8M31K
Cbiz IncCBZShares$1.7M65K
Armstrong World Industries IncAWIShares$1.7M11K
California Wtr Svc GroupCWTShares$1.7M38K
Rpc IncRESShares$1.7M234K
Wd 40 CoWDFCShares$1.6M8K
Qualys IncQLYSShares$1.5M18K
Ltc Properties IncLTCShares$1.4M37K
Boise Cascade CoBCCShares$1.3M18K
Shake Shack IncSHAKShares$1.3M15K
Pjt Partners IncPJTShares$1.2M9K
Blackline IncBLShares$1.1M31K
Healthstream IncHSTMShares$1.1M53K
Park Aerospace CorpPKEShares$830K30K
Intest CorpINTTShares$765K56K
Eton Pharmaceuticals IncETONShares$522K21K
Bankwell Financial Group IncBWFGShares$485K10K
Utah Med Prods IncUTMDShares$452K7K
Bank Of Marin BancorpBMRCShares$398K16K

Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.