Jackson Creek Investment Advisors LLC Q4 2025 Filing

Filed February 9, 2026

Portfolio Value

$338.5M

Holdings

291

Report Date

Q4 2025

Filing Type

13F-HR

All Holdings (291 positions)

#StockSharesValue% PortfolioType
1
ENVAEnova Intl Inc
19,412$3.1M0.90%
2
AMRXAmneal Pharmaceuticals Inc Sto
222,133$2.8M0.83%
3
KALUKaiser Aluminium Corporation
23,860$2.7M0.81%
4
FTITechnipfmc PLC
59,693$2.7M0.79%
5
Indivior Pharmaceuticals Inc
72,383$2.6M0.77%
6
JBLJabil Inc
11,290$2.6M0.76%
7
UHSUniversal Health Services Inc
11,450$2.5M0.74%
8
CMRECostamare Inc
156,709$2.5M0.73%
9
HCIHCI Group Inc
12,292$2.4M0.70%
10
MTZMastec Inc
10,719$2.3M0.69%
11
AMKRAmkor Technology Inc
58,610$2.3M0.68%
12
APAApa Corporation
92,772$2.3M0.67%
13
MDPediatrix Medical Group Inc
105,885$2.3M0.67%
14
ENSGEnsign Group Inc
12,982$2.3M0.67%
15
ZWSZurn Elkay Water Solutions Cor
48,539$2.3M0.67%
16
CMCCommercial Metals Co
32,520$2.3M0.67%
17
EYENational Vision Holdings Inc
86,431$2.2M0.66%
18
ADTAdt Inc
275,149$2.2M0.66%
19
TILEInterface Inc
79,128$2.2M0.65%
20
EZPWEZCORP Inc Cl A Non Vtg
111,860$2.2M0.64%
21
VCYTVeracyte Inc
51,147$2.2M0.64%
22
HIIHuntington Ingalls Industries
6,317$2.1M0.63%
23
DGIIDigi Intl Inc
48,634$2.1M0.62%
24
VTRSViatris Inc
168,207$2.1M0.62%
25
GATXGATX Corp
12,316$2.1M0.62%
26
BKEBuckle Inc
39,051$2.1M0.62%
27
CTRECaretrust REIT Inc
57,246$2.1M0.61%
28
ARQTArcutis Biotherapeutics Inc
71,035$2.1M0.61%
29
OPLNOpenlane Inc Com
69,128$2.1M0.61%
30
LAURLaureate Education Inc Common
60,626$2.0M0.60%
31
TTMITTM Technologies Inc
29,503$2.0M0.60%
32
CALXCalix Inc
38,430$2.0M0.60%
33
SMPStandard Motor Products Inc
55,111$2.0M0.60%
34
ENSEnersys
13,841$2.0M0.60%
35
JXNJackson Financial Inc Cl A
19,025$2.0M0.60%
36
OMCLOmnicell
44,627$2.0M0.60%
37
SBCSabra Health Care REIT Inc
103,909$2.0M0.58%
38
MTRNMaterion Corp
15,768$2.0M0.58%
39
OSISOSI Systems Inc
7,660$2.0M0.58%
40
GDOTGreen Dot Corp Cl A
151,059$1.9M0.57%
41
CVNACarvana Co Cl A
4,572$1.9M0.57%
42
QCRHQCR Holdings Inc
22,864$1.9M0.56%
43
CUBICustomers Bancorp Inc
26,036$1.9M0.56%
44
AGXArgan Inc
6,077$1.9M0.56%
45
PATHUipath Inc Cl A
115,950$1.9M0.56%
46
VIAVViavi Solutions Inc
105,905$1.9M0.56%
47
GLDDGreat Lakes Dredge & Dock Corp
143,321$1.9M0.56%
48
BWABorgWarner Inc
41,404$1.9M0.55%
49
HTOH2O America
37,863$1.9M0.55%
50
NMRKNewmark Group Inc Cl A
106,842$1.9M0.55%
51
CMPRCimpress PLC Euro
27,732$1.8M0.55%
52
PRIMPrimoris Services Corp
14,879$1.8M0.55%
53
PEGAPegasystems Inc
30,878$1.8M0.54%
54
ACAArcosa Inc
17,300$1.8M0.54%
55
OMFOnemain Holdings Inc
26,985$1.8M0.54%
56
PEBOPeoples Bancorp Inc
60,507$1.8M0.54%
57
MYRGMYR Group Inc
8,295$1.8M0.54%
58
CXMSprinklr Inc Cl A
232,301$1.8M0.53%
59
PARRPar Pac Holdings Inc New
51,431$1.8M0.53%
60
COLLCollegium Pharmaceutical Inc
38,846$1.8M0.53%
61
THCTenet Healthcare Corp New
9,032$1.8M0.53%
62
BB4Axos Financial Inc
20,725$1.8M0.53%
63
FIXComfort Systems USA Inc
1,908$1.8M0.53%
64
FHBFirst Hawaiian Inc
70,393$1.8M0.53%
65
IBEXIbex Ltd New
46,503$1.8M0.52%
66
ACLSAxcelis Technologies Inc New
22,054$1.8M0.52%
67
LNNLindsay Corp
14,991$1.8M0.52%
68
OGSOne Gas Inc
22,808$1.8M0.52%
69
HURNHuron Consulting Group Inc
10,160$1.8M0.52%
70
PFBCPreferred Bank Los Angeles CA
18,574$1.8M0.52%
71
HAYWHayward Holdings Inc
112,883$1.7M0.52%
72
SKTTanger Inc
52,072$1.7M0.51%
73
NHINatl Health Investors Inc
22,750$1.7M0.51%
74
REYNReynolds Consumer Prods Inc
75,498$1.7M0.51%
75
RSIRush Street Interactive Inc
88,798$1.7M0.51%
76
EVEREverquote Inc Cl A
63,853$1.7M0.51%
77
VIRTVirtu Financial Inc Cl A
51,705$1.7M0.51%
78
CCKCrown Holdings Inc
16,699$1.7M0.51%
79
ALRMAlarm Holdings Inc
33,648$1.7M0.51%
80
PTCTPTC Therapeutics Inc
22,603$1.7M0.51%
81
ASTEAstec Industries Inc
39,545$1.7M0.51%
82
OI*O-I Glass Inc
115,672$1.7M0.50%
83
FMFFormFactor Inc
30,547$1.7M0.50%
84
FLEXFlex Ltd
28,183$1.7M0.50%
85
VMIValmont Industries Inc
4,187$1.7M0.50%
86
AWIArmstrong World Industries Inc
8,809$1.7M0.50%
87
NXTNextpower Inc Class A
19,255$1.7M0.50%
88
DHTDHT Holdings Inc New
135,212$1.7M0.49%
89
URBNUrban Outfitters Inc
21,870$1.6M0.49%
90
CRCCalifornia Resources Corp Stoc
36,634$1.6M0.48%
91
FFBC1st Financial Bancorp
65,071$1.6M0.48%
92
BSFAAni Pharmaceuticals Inc
20,591$1.6M0.48%
93
AAAlcoa Corp
30,580$1.6M0.48%
94
BLKBBlackbaud Inc
25,569$1.6M0.48%
95
SRCE1st Source Corp
25,893$1.6M0.48%
96
CARSCars Inc
132,340$1.6M0.48%
97
FAFFirst American Financial Corp
26,165$1.6M0.48%
98
NICNicolet Bankshares Inc
13,226$1.6M0.47%
99
PLMRPalomar Holdings Inc
11,778$1.6M0.47%
100
LGNDLigand Pharmaceuticals Inc New
8,313$1.6M0.46%
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