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  Name: Pacific Ridge Capital Partners LLC
  City: LAKE OSWEGO
  State: OR
  Zip: 97035
   
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Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $492,382,000
  Total Value Change : $61,131,000
  Securities Held Change : 1
   
All Securities Held : 137
  New Positions : 6
  Closed Positions : 5
  Increased Positions : 30
  Unchanged Positions : 43
  Decreased Positions : 58

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Holdings Found : 30     View All Holdings Currently Viewing:  Increased Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (MCB)1 Year Chart         MCB Metropolitan Bank Holding C... 1 - $41.92 $14,551,000 262,754 2.96% 5,034,000 436 2.469    N/A
   (BBW)1 Year Chart         BBW Build A Bear Workshop Inc 5 - $28.62 $10,247,000 445,695 2.08% -494,000 80,463 2.784    Toy & Hobby Stores
   (KE)1 Year Chart         KE Kimball Electronics, Inc. 8 - $22.74 $9,927,000 368,343 2.02% 368,000 19,234 1.465    N/A
   (NWPX)1 Year Chart         NWPX Northwest Pipe Co 10 - $35.61 $9,594,000 317,067 1.95% 1,378,000 44,756 3.232    Steel & Iron
   (RRGB)1 Year Chart         RRGB Red Robin Gourmet Burgers Inc 13 - $7.78 $7,951,000 637,588 1.61% 3,784,000 119,351 3.413    Restaurants
   (ASUR)1 Year Chart         ASUR Asure Software Inc 19 - $7.24 $7,094,000 745,145 1.44% 1,135,000 115,256 3.731    Business Software & S...
   (CRAI)1 Year Chart         CRAI CRA International Inc 27 - $161.70 $6,140,000 62,111 1.25% 274,000 3,897 0.798    Management Services
   (FSBC)1 Year Chart         FSBC Five Star Bancorp 31 - $22.07 $5,713,000 218,219 1.16% 1,987,000 32,487 1.266    N/A
   (USCB)1 Year Chart         USCB U S Century Bank Ord Shs Cl... 33 - $0.00 $5,590,000 456,323 1.14% 1,122,000 31,238 2.535    N/A
   (BOOM)1 Year Chart         BOOM DMC Global Inc 39 - $13.46 $5,064,000 269,071 1.03% -396,000 45,944 1.429    Industrial Metals & M...
   (INTT)1 Year Chart         INTT Intest Corp 41 - $10.62 $4,842,000 356,042 0.98% 1,384,000 128,082 3.381    Semiconductor - Integ...
   (RMNI)1 Year Chart         RMNI Rimini Street, Inc 47 - $2.41 $4,526,000 1,383,969 0.92% 1,869,000 176,414 1.815    N/A
   (JAKK)1 Year Chart         JAKK Jakks Pacific Inc 50 - $18.99 $4,254,000 119,667 0.86% 2,829,000 43,009 1.867    Toys & Games
   (BWFG)1 Year Chart         BWFG Bankwell Financial Group, Inc. 53 - $23.80 $4,072,000 134,940 0.83% 1,516,000 29,616 1.751    N/A
   (AJX)1 Year Chart         AJX Great Ajax Corp. 56 - $3.59 $3,907,000 737,194 0.79% -72,000 119,283 3.215    N/A
   (UEIC)1 Year Chart         UEIC Universal Electronics Inc 57 - $10.18 $3,574,000 380,573 0.73% 583,000 50,117 2.732    Electronic Equipment
   (DHX)1 Year Chart         DHX DHI Group Inc 58 - $2.75 $3,392,000 1,309,731 0.69% 2,924,000 1,156,740 2.475    Staffing & Outsourcin...
   (GNSS)1 Year Chart         GNSS Genasys Inc 72 - $2.19 $2,141,000 1,054,481 0.43% 107,000 42,703 3.149    Diversified Electronics
   (CNOB)1 Year Chart         CNOB ConnectOne Bancorp, Inc 78 - $19.89 $1,840,000 80,296 0.37% 573,000 9,243 0.202    Domestic Regional Banks
   (SMSI)1 Year Chart         SMSI Smith Micro Software Inc 80 - $0.30 $1,758,000 2,128,190 0.36% -363,000 374,963 5.153    Application Software
   (UCTT)1 Year Chart         UCTT Ultra Clean Holdings Inc 84 - $43.79 $1,553,000 45,482 0.32% 366,000 5,489 0.104    Semiconductor - Speci...
   (GCT)1 Year Chart         GCT Gigacloud Technology Ord Sh... 85 - $0.00 $1,548,000 84,617 0.31% 962,000 18,049 0.27    N/A
   (ACCO)1 Year Chart         ACCO Acco Brands Corp 87 - $5.02 $1,523,000 250,547 0.31% 268,000 31,851 0.265    Office Supplies
   (BMTX)1 Year Chart         BMTX BM Technologies, Inc 94 - $1.72 $1,324,000 645,768 0.27% 404,000 185,626 5.293    N/A
   (HFWA)1 Year Chart         HFWA Heritage Financial Corp 98 - $18.82 $1,297,000 60,628 0.26% 523,000 13,165 0.169    Savings & Loans
   (HCSG)1 Year Chart         HCSG Healthcare Services Group Inc 103 - $11.00 $1,179,000 113,714 0.24% 186,000 18,539 0.144    Business Services
   (DBI)1 Year Chart         DBI Designer Brands Inc 105 - $9.62 $1,152,000 130,142 0.23% -245,000 19,758 0.2    Apparel Stores
   (RMR)1 Year Chart         RMR RMR Group Inc 109 - $23.08 $1,053,000 37,290 0.21% 359,000 8,975 0.243    N/A
   (HBI)1 Year Chart         HBI Hanesbrands Inc. 111 - $4.46 $1,034,000 231,926 0.21% 328,000 53,602 0.067    Textile - Apparel Clo...
   (HDSN)1 Year Chart         HDSN Hudson Technologies Inc /ny/ 115 - $9.21 $852,000 63,130 0.17% 467,000 34,164 0.148    Consumer Services

      30 Records Found
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