Pacific Ridge Capital Partners, Llc

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

Reported value
$461.8M
Q ending 2026-03-31
Prior quarter
$455.6M
Q ending 2025-12-31
Change
+1.4% QoQ · +21.8% YoY
Positions
137
reported holdings

Largest positions

Top 100 of 137 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
Northeast BankNBNShares$14.3M128K
Alico IncALCOShares$11.8M285K
Natural Gas Services Group IncNGSShares$11.5M305K
Metropolitan Bank HldMCBShares$11.4M137K
Heritage Insurance Hlds IncHRTGShares$10.7M406K
Dhi GroupDHXShares$10.2M3.6M
American Public EducationAPEIShares$9.5M168K
Jakks Pacific IncJAKKShares$8.7M437K
Aviat Networks IncAVNWShares$8.7M383K
Nwpx InfrastructureNWPXShares$8.6M110K
Motorcar Parts Of America IncMPAAShares$8.5M772K
VersabankVBNKShares$8.4M590K
Parke BancorpPKBKShares$8.3M293K
Unity BancorpUNTYShares$8.2M159K
Bankwell Financial GroupBWFGShares$8.2M168K
Build A Bear WorkshopBBWShares$8.1M216K
Fs BancorpFSBWShares$8.0M208K
Twin Disc IncTWINShares$8.0M531K
Kimball ElectronicsKEShares$7.6M322K
Lakeland IndustriesLAKEShares$7.6M929K
First Business Financial ServiFBIZShares$7.6M141K
American Integrity InsuranceAIIShares$7.5M389K
Horizon BancorpHBNCShares$7.1M429K
Bowman Consulting GrpBWMNShares$7.0M246K
Capital BancorpCBNKShares$6.9M231K
Intest CorpINTTShares$6.9M502K
Cpi Card GroupPMTSShares$6.8M466K
Five Star BancorpFSBCShares$6.7M177K
Hamilton Beach Brands HldHBBShares$6.5M344K
Colony BankcorpCBANShares$6.4M322K
Uscb Financial HldsUSCBShares$6.3M342K
Rimini Street Inc.RMNIShares$6.3M1.9M
Miller Industries IncMLRShares$6.2M137K
Asure SoftwareASURShares$6.0M702K
Commercial Banc GroupCBKShares$5.9M226K
Rcm TechnologiesRCMTShares$5.5M286K
Orrstown Financial ServicesORRFShares$5.3M147K
Red Robin Gourmet BurgersRRGBShares$5.3M1.8M
Kelly Services Cls AKELYAShares$4.8M547K
Shoe Carnival IncSHOEShares$4.8M309K
Alpine Income Property TrustPINEShares$4.8M266K
Amtech SystemsASYSShares$4.7M405K
Chiron Real Estate IncXRNShares$4.4M132K
Mistras Group IncMGShares$4.2M285K
Dmc Global IncBOOMShares$4.2M805K
Riverview BancorpRVSBShares$4.2M755K
J. Jill IncJILLShares$4.1M357K
Forrester ResearchFORRShares$4.0M711K
Acacia Research CorpACTGShares$3.9M817K
Repay Holdings Cls ARPAYShares$3.7M1.4M
Cooper Standard HldsCPSShares$3.7M131K
Core Molding TechnologiesCMTShares$3.2M144K
Sleep Number CorpSNBRQShares$3.2M1.8M
Sensus HealthcareSRTSShares$3.2M796K
Sunrise Realty TrustSUNSShares$3.1M403K
Home Bancorp, IncHBCPShares$3.0M50K
Marcus CorpMCSShares$2.9M168K
Lifetime Brands IncLCUTShares$2.8M496K
Tilly'S Inc Cls ATLYSShares$2.8M693K
Silvercrest Asset Mgmnt Cls ASAMGShares$2.8M207K
GenasysGNSSShares$2.6M1.5M
Hurco Companies IncHURCShares$2.5M171K
Bgsf IncBGSFShares$2.5M384K
Park DentalPARKShares$2.3M136K
Photronics IncPLABShares$2.1M52K
Perdoceo Education Corp.PRDOShares$2.0M55K
Healthcare Services Group IncHCSGShares$1.8M99K
Pathward Financial IncCASHShares$1.8M20K
Koppers HoldingsKOPShares$1.7M43K
Pamt CorpPAMTShares$1.6M195K
Dxp Enterprises, IncDXPEShares$1.6M12K
ShimmickSHIMShares$1.6M440K
Coastal FinancialCCBShares$1.6M20K
CartersCRIShares$1.5M43K
Comtech Telecom CorpCMTLShares$1.5M464K
Stagwell IncSTGWShares$1.5M243K
Universal Electronics IncUEICShares$1.4M351K
Cohu IncCOHUShares$1.4M46K
Douglas Dynamics IncPLOWShares$1.3M32K
Connectone BancorpCNOBShares$1.3M49K
Business First Bancshares IncBFSTShares$1.3M47K
Bridgewater BancsharesBWBShares$1.3M72K
Merchants BancorpMBINShares$1.2M29K
First Financial CorpTHFFShares$1.2M19K
Penguin SolutionsPENGShares$1.2M66K
Barrett Business Services IncBBSIShares$1.1M38K
Gbank Financial HoldingsGBFHShares$1.1M40K
Qcr Holdings IncQCRHShares$1.1M12K
Ennis IncEBFShares$1.0M49K
Caleres IncCALShares$988K94K
Wabash National Corp.WNCShares$967K112K
Gigacloud Tech Cls AShares$965K21K
Benchmark Electronics, IncBHEShares$941K17K
Designer BrandsDBIShares$919K161K
Daktronics, IncDAKTShares$915K47K
Heritage FinancialHFWAShares$911K35K
Hyster-Yale Cls AHYShares$905K28K
Hackett Group, IncHCKTShares$879K68K
Hudson TechnologiesHDSNShares$864K147K
Helen Of Troy CorpShares$827K57K

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.