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
601
QTWO2 HLDGS INC
23,580$2.2M0.05%
602
RYNAYONIER INC
99,370$2.2M0.05%
603
APPNPPIAN CORP
73,684$2.2M0.05%
604
ACVACV AUCTIONS INC
135,244$2.2M0.05%
605
BMRNIOMARIN PHARMACEUTICAL INC
39,874$2.2M0.05%
606
SMGCOTTS MIRACLE-GRO CO
33,180$2.2M0.05%
607
MODODINE MFG CO
22,077$2.2M0.05%
608
PBROSPERITY BANCSHARES INC
30,959$2.2M0.05%
609
RELYEMITLY GLOBAL INC
115,297$2.2M0.05%
610
EVHVOLENT HEALTH INC
191,581$2.2M0.05%
611
ARCBRCBEST CORP
27,917$2.1M0.05%
612
MAASTERCARD INCORPORATED
3,820$2.1M0.04%
613
JANXANUX THERAPEUTICS INC
92,482$2.1M0.04%
614
REXREXFORD INDL RLTY INC
60,000$2.1M0.04%
615
BOHANK HAWAII CORP
31,414$2.1M0.04%
616
WABCESTAMERICA BANCORPORATION
43,508$2.1M0.04%
617
UGIGI CORP NEW
57,790$2.1M0.04%
618
NPKATIONAL PRESTO INDS INC
21,448$2.1M0.04%
619
WTISDOMTREE INC
182,013$2.1M0.04%
620
OPTULTICE USA INC
971,427$2.1M0.04%
621
ELMELME COMMUNITIES
129,860$2.1M0.04%
622
DHCIVERSIFIED HEALTHCARE TR
574,362$2.1M0.04%
623
ICFICF INTL INC
24,180$2.0M0.04%
624
SNEXTONEX GROUP INC
22,422$2.0M0.04%
625
TILENTERFACE INC
97,603$2.0M0.04%
626
USNASANA HEALTH SCIENCES INC
66,850$2.0M0.04%
627
IWMSHARES TR
9,445$2.0M0.04%
628
WNCABASH NATL CORP
191,295$2.0M0.04%
629
SMTCEMTECH CORP
44,883$2.0M0.04%
630
SEMREMRUSH HLDGS INC
223,861$2.0M0.04%
631
BMOANK MONTREAL QUE
18,297$2.0M0.04%
632
VRNSARONIS SYS INC
39,618$2.0M0.04%
633
BELOOM ENERGY CORP
83,890$2.0M0.04%
634
UPBDPBOUND GROUP INC
79,920$2.0M0.04%
635
SITEITEONE LANDSCAPE SUPPLY INC
16,578$2.0M0.04%
636
CYTKYTOKINETICS INC
60,390$2.0M0.04%
637
PZZAAPA JOHNS INTL INC
40,550$2.0M0.04%
638
KNTKINETIK HOLDINGS INC
44,550$2.0M0.04%
639
LPGORIAN LPG LTD
80,470$2.0M0.04%
640
RDDTEDDIT INC
12,969$2.0M0.04%
641
BKHLACK HILLS CORP
34,764$1.9M0.04%
642
BNROOKFIELD CORP
31,417$1.9M0.04%
643
CMANADIAN IMPERIAL BK COMM
27,369$1.9M0.04%
644
MRCYERCURY SYS INC
35,770$1.9M0.04%
645
ADPTDAPTIVE BIOTECHNOLOGIES COR
165,343$1.9M0.04%
646
DJTRUMP MEDIA & TECHNOLOGY GRO
106,553$1.9M0.04%
647
TWSTWIST BIOSCIENCE CORP
51,794$1.9M0.04%
648
SMRUSCALE PWR CORP
47,910$1.9M0.04%
649
FTKLOTEK INDS INC DEL
128,220$1.9M0.04%
650
TVTXRAVERE THERAPEUTICS INC
127,188$1.9M0.04%
651
QCOMUALCOMM INC
11,805$1.9M0.04%
652
SXCUNCOKE ENERGY INC
217,924$1.9M0.04%
653
PRERMIAN RESOURCES CORP
136,629$1.9M0.04%
654
OLOGBXLO INC
208,652$1.9M0.04%
655
G3VREEN PLAINS INC
307,230$1.9M0.04%
656
BANFANCFIRST CORP
14,969$1.9M0.04%
657
K6BBR INC
38,362$1.8M0.04%
658
ATRCTRICURE INC
56,069$1.8M0.04%
659
PBIITNEY BOWES INC
167,069$1.8M0.04%
660
8LP1ITAL ENERGY INC
112,580$1.8M0.04%
661
NAGEIAGEN BIOSCIENCE INC
124,730$1.8M0.04%
662
HEAWAIIAN ELEC INDUSTRIES
168,746$1.8M0.04%
663
ARRYRRAY TECHNOLOGIES INC
303,380$1.8M0.04%
664
HSIEIDRICK & STRUGGLES INTL IN
39,115$1.8M0.04%
665
OGM1OGENT COMMUNICATIONS HLDGS
36,990$1.8M0.04%
666
PLTKLAYTIKA HLDG CORP
373,850$1.8M0.04%
667
TMDXRANSMEDICS GROUP INC
13,184$1.8M0.04%
668
QBTS-WAVE QUANTUM INC
120,430$1.8M0.04%
669
MCBETROPOLITAN BK HLDG CORP
25,020$1.8M0.04%
670
OGNRGANON & CO
180,400$1.7M0.04%
671
WKCORLD KINECT CORPORATION
61,478$1.7M0.04%
672
DCOUCOMMUN INC DEL
20,959$1.7M0.04%
673
SENTINELONE INC
94,586$1.7M0.04%
674
SB9ITIO ROYALTIES CORP
93,374$1.7M0.04%
675
VTOLRISTOW GROUP INC
51,984$1.7M0.04%
676
PRCTROCEPT BIOROBOTICS CORP
29,608$1.7M0.04%
677
OSNESTREAM INC
59,620$1.7M0.04%
678
BOXOX INC
49,026$1.7M0.04%
679
IVTNVENTRUST PPTYS CORP
61,118$1.7M0.04%
680
ARISUSDRIS WATER SOLUTIONS INC
70,685$1.7M0.04%
681
RWTEDWOOD TRUST INC
281,110$1.7M0.03%
682
ENBNBRIDGE INC
36,738$1.7M0.03%
683
HRBLOCK H & R INC
30,200$1.7M0.03%
684
CIMHIMERA INVT CORP
119,254$1.7M0.03%
685
VNOORNADO RLTY TR
43,192$1.7M0.03%
686
GU9UESS INC
136,563$1.7M0.03%
687
SLVMYLVAMO CORP
32,934$1.6M0.03%
688
TRIPRIPADVISOR INC
125,870$1.6M0.03%
689
ACTNACT HLDGS INC
44,116$1.6M0.03%
690
BHVNIOHAVEN LTD
115,540$1.6M0.03%
691
SHAKHAKE SHACK INC
11,596$1.6M0.03%
692
CGEMULLINAN THERAPEUTICS INC
215,580$1.6M0.03%
693
ABBVBBVIE INC
8,732$1.6M0.03%
694
IRMDRADIMED CORP
27,087$1.6M0.03%
695
SNAPNAP INC
186,290$1.6M0.03%
696
ARWRRROWHEAD PHARMACEUTICALS IN
102,490$1.6M0.03%
697
UTHNITED THERAPEUTICS CORP DEL
5,620$1.6M0.03%
698
MATATTEL INC
81,710$1.6M0.03%
699
AEVAEVA TECHNOLOGIES INC
42,513$1.6M0.03%
700
ATROSTRONICS CORP
47,920$1.6M0.03%
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