Pacific Ridge Capital Partners, LLC Q1 2025 Filing

Filed May 9, 2025

Portfolio Value

$379.3B

Holdings

136

Report Date

Q1 2025

Filing Type

13F-HR

All Holdings (136 positions)

#StockSharesValue% PortfolioType
101
GPGIComposecure
57,015$619.8M0.16%
102
NTGRNetgear Inc
25,151$615.2M0.16%
103
HELEHelen of Troy Corp
11,483$614.2M0.16%
104
PLUSEPlus Inc
9,925$605.7M0.16%
105
GNLGlobal Net Lease REIT
74,666$600.3M0.16%
106
PCCPC Connection
9,384$585.7M0.15%
107
EPCEdgewell Personal Care
18,694$583.4M0.15%
108
GCTGigaCloud Tech Cls A
41,053$583.0M0.15%
109
EBFEnnis Inc
28,533$573.2M0.15%
110
PRAAPRA Group
26,579$548.1M0.14%
111
DAKTDaktronics, Inc
44,692$544.3M0.14%
112
COHUCohu Inc
36,906$542.9M0.14%
113
SRTSSensus Healthcare
114,500$541.6M0.14%
114
CHEFChefs' Warehouse
9,839$535.8M0.14%
115
CAKECheesecake Factory
10,677$519.5M0.14%
116
GU9Guess Inc
46,521$515.0M0.14%
117
HDSNHudson Technologies
78,872$486.6M0.13%
118
ICHRIchor Holdings
20,930$473.2M0.12%
119
MTRXMatrix Service Co
35,635$442.9M0.12%
120
UCTTUltra Clean Holdings
19,880$425.6M0.11%
121
SMSISmith Micro Software
562,837$412.6M0.11%
122
FLWS1-800-Flowers.com Inc
66,140$390.2M0.10%
123
BLMNBloomin Brands
52,967$379.8M0.10%
124
SHYFShyft Group Inc
46,365$375.1M0.10%
125
RMRRMR Group Cls A
21,896$364.6M0.10%
126
ABXAbacus Global Management Inc
47,841$358.3M0.09%
127
EPACEnerpac Tool Group
7,922$355.4M0.09%
128
SMPStandard Motor
14,134$352.4M0.09%
129
RCOResources Connection
49,970$326.8M0.09%
130
CMCOColumbus McKinnon Corp
19,190$324.9M0.09%
131
NVEEUSDNV5 Global Inc
16,621$320.3M0.08%
132
ZM3Zumiez Inc
21,217$315.9M0.08%
133
CRICarters
7,409$303.0M0.08%
134
NPKINPK International
48,657$282.7M0.07%
135
TBITrueBlue Inc
51,189$271.8M0.07%
136
ULHUniversal Logistics
9,840$258.2M0.07%
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