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
501
AVOISSION PRODUCE INC
253,514$3.0M0.06%
502
WEAESTERN ALLIANCE BANCORP
38,023$3.0M0.06%
503
EVRVERCORE INC
10,959$3.0M0.06%
504
PODDNSULET CORP
9,419$3.0M0.06%
505
PACSACS GROUP INC
228,734$3.0M0.06%
506
AGIOGIOS PHARMACEUTICALS INC
88,830$3.0M0.06%
507
PRVARIVIA HEALTH GROUP INC
128,338$3.0M0.06%
508
CBUOMMUNITY FINANCIAL SYSTEM I
51,328$2.9M0.06%
509
TN1ENNANT CO
37,653$2.9M0.06%
510
MDGLADRIGAL PHARMACEUTICALS INC
9,530$2.9M0.06%
511
INSPNSPIRE MED SYS INC
22,177$2.9M0.06%
512
CARGARGURUS INC
85,634$2.9M0.06%
513
CENTAENTRAL GARDEN & PET CO
91,430$2.9M0.06%
514
FORORESTAR GROUP INC
142,992$2.9M0.06%
515
LUMNUMEN TECHNOLOGIES INC
652,424$2.9M0.06%
516
AMPHMPHASTAR PHARMACEUTICALS IN
124,290$2.9M0.06%
517
SCLTEPAN CO
52,048$2.8M0.06%
518
CLXLOROX CO DEL
23,561$2.8M0.06%
519
CDEOEUR MNG INC
319,190$2.8M0.06%
520
HOMBOME BANCSHARES INC
99,085$2.8M0.06%
521
CCKROWN HLDGS INC
27,360$2.8M0.06%
522
TCBIEXAS CAP BANCSHARES INC
35,460$2.8M0.06%
523
NXRTEXPOINT RESIDENTIAL TR INC
84,265$2.8M0.06%
524
PSAUBLIC STORAGE OPER CO
9,566$2.8M0.06%
525
CSGSSG SYS INTL INC
42,840$2.8M0.06%
526
BBIORIDGEBIO PHARMA INC
64,753$2.8M0.06%
527
WRBYARBY PARKER INC
127,205$2.8M0.06%
528
AURURORA INNOVATION INC
528,168$2.8M0.06%
529
FSLYASTLY INC
391,440$2.8M0.06%
530
AALCOA CORP
93,441$2.8M0.06%
531
VCISTEON CORP
29,388$2.7M0.06%
532
EIXDISON INTL
53,026$2.7M0.06%
533
CLHLEAN HARBORS INC
11,836$2.7M0.06%
534
AI3 AI INC
111,073$2.7M0.06%
535
WDFCD 40 CO
11,959$2.7M0.06%
536
SAMOSTON BEER INC
14,270$2.7M0.06%
537
LCIICI INDS
29,690$2.7M0.06%
538
PCGG&E CORP
194,031$2.7M0.06%
539
NIJELNET INC
22,264$2.7M0.06%
540
SBG1EACOAST BKG CORP FLA
97,447$2.7M0.06%
541
GIIIIII APPAREL GROUP LTD
119,820$2.7M0.06%
542
ACHRRCHER AVIATION INC
246,310$2.7M0.06%
543
APLSPELLIS PHARMACEUTICALS INC
154,113$2.7M0.06%
544
GLDDREAT LAKES DREDGE & DOCK CO
218,817$2.7M0.06%
545
FLRLUOR CORP NEW
52,003$2.7M0.06%
546
CBTABOT CORP
35,404$2.7M0.06%
547
HZOARINEMAX INC
105,535$2.7M0.06%
548
CRSRORSAIR GAMING INC
279,814$2.6M0.06%
549
RPDAPID7 INC
114,052$2.6M0.06%
550
SAHONIC AUTOMOTIVE INC
32,846$2.6M0.05%
551
CLSKLEANSPARK INC
236,993$2.6M0.05%
552
MACACERICH CO
159,724$2.6M0.05%
553
KLICULICKE & SOFFA INDS INC
74,490$2.6M0.05%
554
NVCROVOCURE LTD
144,623$2.6M0.05%
555
IOSPNNOSPEC INC
30,548$2.6M0.05%
556
SRPTAREPTA THERAPEUTICS INC
149,910$2.6M0.05%
557
RNGINGCENTRAL INC
90,219$2.6M0.05%
558
PNTGENNANT GROUP INC
85,630$2.6M0.05%
559
RVMDEVOLUTION MEDICINES INC
68,983$2.5M0.05%
560
SEDGOLAREDGE TECHNOLOGIES INC
124,176$2.5M0.05%
561
HALOALOZYME THERAPEUTICS INC
48,670$2.5M0.05%
562
MRNAODERNA INC
91,710$2.5M0.05%
563
OMFNEMAIN HLDGS INC
44,365$2.5M0.05%
564
SNCYUN CTRY AIRLS HLDGS INC
214,551$2.5M0.05%
565
VENENTAS INC
39,804$2.5M0.05%
566
MAXEDIAALPHA INC
228,778$2.5M0.05%
567
PAHCHIBRO ANIMAL HEALTH CORP
97,722$2.5M0.05%
568
PDMIEDMONT REALTY TRUST INC
339,180$2.5M0.05%
569
TGTXG THERAPEUTICS INC
68,081$2.5M0.05%
570
AAMICADIAN ASSET MANAGEMENT INC
69,217$2.4M0.05%
571
ENSGNSIGN GROUP INC
15,785$2.4M0.05%
572
AVAHVEANNA HEALTHCARE HLDGS INC
464,701$2.4M0.05%
573
MOG/AOOG INC
13,360$2.4M0.05%
574
REZIESIDEO TECHNOLOGIES INC
108,950$2.4M0.05%
575
SDGRCHRODINGER INC
119,376$2.4M0.05%
576
TRNRINITY INDS INC
88,359$2.4M0.05%
577
ALKLASKA AIR GROUP INC
47,981$2.4M0.05%
578
AXTAXALTA COATING SYS LTD
79,313$2.4M0.05%
579
THGANOVER INS GROUP INC
13,820$2.3M0.05%
580
BRZERAZE INC
83,460$2.3M0.05%
581
ZBRAEBRA TECHNOLOGIES CORPORATI
7,600$2.3M0.05%
582
GHUARDANT HEALTH INC
44,640$2.3M0.05%
583
OI*-I GLASS INC
157,400$2.3M0.05%
584
UNITNITI GROUP INC
534,806$2.3M0.05%
585
ICHRCHOR HOLDINGS
117,239$2.3M0.05%
586
HLECLA MNG CO
382,882$2.3M0.05%
587
WEAVEAVE COMMUNICATIONS INC
275,137$2.3M0.05%
588
BHEENCHMARK ELECTRS INC
58,699$2.3M0.05%
589
ACELCCEL ENTERTAINMENT INC
193,525$2.3M0.05%
590
HAEAEMONETICS CORP MASS
30,520$2.3M0.05%
591
AMPLMPLITUDE INC
182,440$2.3M0.05%
592
VBTXERITEX HLDGS INC
86,606$2.3M0.05%
593
TTMITM TECHNOLOGIES INC
55,249$2.3M0.05%
594
IEVANHOE ELECTRIC INC
248,298$2.3M0.05%
595
SITMITIME CORP
10,553$2.2M0.05%
596
IRTNDEPENDENCE RLTY TR INC
127,024$2.2M0.05%
597
GRNDRINDR INC
98,790$2.2M0.05%
598
PDFSDF SOLUTIONS INC
104,720$2.2M0.05%
599
AEBALLETE INC
34,940$2.2M0.05%
600
WSMILLIAMS SONOMA INC
13,659$2.2M0.05%
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