ALGERT GLOBAL LLC Q2 2025 Filing

Filed August 14, 2025

Portfolio Value

$4.8B

Holdings

1,167

Report Date

Q2 2025

Filing Type

13F-HR

All Holdings (1,167 positions)

#StockSharesValue% PortfolioType
101
CRLHARLES RIV LABS INTL INC
73,284$11.1M0.23%
102
ALLYLLY FINL INC
285,126$11.1M0.23%
103
CNMORE & MAIN INC
183,759$11.1M0.23%
104
FLSLOWSERVE CORP
210,703$11.0M0.23%
105
DYYCOM INDS INC
44,963$11.0M0.23%
106
MOSOSAIC CO NEW
300,916$11.0M0.23%
107
RVLVEVOLVE GROUP INC
546,481$11.0M0.23%
108
RMBS*AMBUS INC DEL
170,844$10.9M0.23%
109
MTZASTEC INC
64,136$10.9M0.23%
110
DUOLUOLINGO INC
26,437$10.8M0.23%
111
CDPOPT DEFENSE PROPERTIES
393,046$10.8M0.23%
112
ALSNLLISON TRANSMISSION HLDGS I
113,769$10.8M0.23%
113
UERBAN EDGE PPTYS
578,347$10.8M0.23%
114
HCQMN HEALTHCARE SVCS INC
521,978$10.8M0.23%
115
BWAORGWARNER INC
322,158$10.8M0.23%
116
METAETA PLATFORMS INC
14,577$10.8M0.23%
117
AMNTERO MIDSTREAM CORP
562,263$10.7M0.22%
118
LLYLI LILLY & CO
13,646$10.6M0.22%
119
CMAOMERICA INC
176,746$10.5M0.22%
120
IBOCNTERNATIONAL BANCSHARES COR
158,357$10.5M0.22%
121
NFLXETFLIX INC
7,855$10.5M0.22%
122
PWPERELLA WEINBERG PARTNERS
541,258$10.5M0.22%
123
AWIRMSTRONG WORLD INDS INC NEW
64,322$10.4M0.22%
124
EQHQUITABLE HLDGS INC
183,198$10.3M0.22%
125
ATDTI INC
118,014$10.2M0.21%
126
OSKSHKOSH CORP
89,390$10.1M0.21%
127
OGEGE ENERGY CORP
228,549$10.1M0.21%
128
VRRMERRA MOBILITY CORP
399,151$10.1M0.21%
129
ALRMLARM COM HLDGS INC
178,462$10.1M0.21%
130
WTSATTS WATER TECHNOLOGIES INC
40,773$10.0M0.21%
131
ANFBERCROMBIE & FITCH CO
120,382$10.0M0.21%
132
TTEKETRA TECH INC NEW
276,649$9.9M0.21%
133
TNDMANDEM DIABETES CARE INC
530,914$9.9M0.21%
134
FLEXLEX LTD
198,145$9.9M0.21%
135
OFGFG BANCORP
229,180$9.8M0.21%
136
DVOUBLEVERIFY HLDGS INC
653,266$9.8M0.20%
137
GLLOBE LIFE INC
78,457$9.8M0.20%
138
PGNYROGYNY INC
440,875$9.7M0.20%
139
BJJS WHSL CLUB HLDGS INC
89,488$9.6M0.20%
140
SNDXYNDAX PHARMACEUTICALS INC
1,021,280$9.6M0.20%
141
BKEUCKLE INC
209,797$9.5M0.20%
142
CELHELSIUS HLDGS INC
203,686$9.4M0.20%
143
WWDOODWARD INC
38,468$9.4M0.20%
144
KMXARMAX INC
140,092$9.4M0.20%
145
UTINIVERSAL TECHNICAL INST INC
275,594$9.3M0.20%
146
BPOPOPULAR INC
84,699$9.3M0.20%
147
LZEGALZOOM COM INC
1,047,380$9.3M0.20%
148
HUNUNTSMAN CORP
884,976$9.2M0.19%
149
VRTSIRTUS INVT PARTNERS INC
50,776$9.2M0.19%
150
FRSHRESHWORKS INC
608,558$9.1M0.19%
151
MKTXARKETAXESS HLDGS INC
40,487$9.0M0.19%
152
CASHATHWARD FINANCIAL INC
114,062$9.0M0.19%
153
RITMITHM CAPITAL CORP
798,230$9.0M0.19%
154
BCRXIOCRYST PHARMACEUTICALS INC
1,002,810$9.0M0.19%
155
MTSIACOM TECH SOLUTIONS HLDGS I
62,628$9.0M0.19%
156
CWANLEARWATER ANALYTICS HLDGS I
408,267$9.0M0.19%
157
DOCSOXIMITY INC
145,372$8.9M0.19%
158
4DHANA INC
518,301$8.9M0.19%
159
NVTVENT ELECTRIC PLC
120,986$8.9M0.19%
160
CRCALIFORNIA RES CORP
193,559$8.8M0.19%
161
GBXREENBRIER COS INC
191,274$8.8M0.18%
162
LWAMB WESTON HLDGS INC
168,369$8.7M0.18%
163
FT2IRST HORIZON CORPORATION
411,138$8.7M0.18%
164
COSTOSTCO WHSL CORP NEW
8,773$8.7M0.18%
165
LAURAUREATE EDUCATION INC
370,075$8.7M0.18%
166
CPTAMDEN PPTY TR
76,404$8.6M0.18%
167
RRCANGE RES CORP
210,088$8.5M0.18%
168
HRMYARMONY BIOSCIENCES HLDGS IN
269,488$8.5M0.18%
169
PENENUMBRA INC
33,045$8.5M0.18%
170
NJREW JERSEY RES CORP
188,781$8.5M0.18%
171
CHEFHEFS WHSE INC
132,157$8.4M0.18%
172
AMRXMNEAL PHARMACEUTICALS INC
1,041,064$8.4M0.18%
173
AIRAR CORP
121,745$8.4M0.18%
174
RSIUSH STREET INTERACTIVE INC
560,736$8.4M0.18%
175
SFDMITHFIELD FOODS INC
354,983$8.4M0.17%
176
PDAGERDUTY INC
540,780$8.3M0.17%
177
IM8NNSMED INC
81,924$8.2M0.17%
178
CPRXATALYST PHARMACEUTICALS INC
378,371$8.2M0.17%
179
USLMNITED STS LIME & MINERALS I
82,134$8.2M0.17%
180
JNJOHNSON & JOHNSON
53,454$8.2M0.17%
181
4I1HILIP MORRIS INTL INC
44,771$8.2M0.17%
182
INGRNGREDION INC
60,088$8.1M0.17%
183
GWREUIDEWIRE SOFTWARE INC
34,463$8.1M0.17%
184
MIRMIRUM PHARMACEUTICALS INC
159,349$8.1M0.17%
185
BROSUTCH BROS INC
118,213$8.1M0.17%
186
AESES CORP
765,055$8.0M0.17%
187
IPGNTERPUBLIC GROUP COS INC
327,080$8.0M0.17%
188
VIRTIRTU FINL INC
177,487$8.0M0.17%
189
LBRDKIBERTY BROADBAND CORP
80,658$7.9M0.17%
190
LYFTYFT INC
502,850$7.9M0.17%
191
CVLTOMMVAULT SYS INC
45,363$7.9M0.17%
192
GEE AEROSPACE
30,527$7.9M0.16%
193
ANUTONATION INC
39,420$7.8M0.16%
194
PFGCERFORMANCE FOOD GROUP CO
88,767$7.8M0.16%
195
AM6MICUS THERAPEUTICS INC
1,353,498$7.8M0.16%
196
COSNO FINL GROUP INC
200,958$7.8M0.16%
197
BKNGOOKING HOLDINGS INC
1,339$7.8M0.16%
198
OIICEANEERING INTL INC
372,929$7.7M0.16%
199
LF2ACIFIC PREMIER BANCORP
365,850$7.7M0.16%
200
CEELANESE CORP DEL
138,461$7.7M0.16%
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