market
riddle
Activity
Companies
Insiders
Institutions
Pricing
EN
Sign in
Sign up
Institutions
/
BRIDGEWAY CAPITAL MANAGEMENT, LLC
/ Holdings
‹
Back to BRIDGEWAY CAPITAL MANAGEMENT, LLC
B
Bridgeway Capital Management, LLC
All holdings · as of Mar 31, 2026
1,221 positions
All types
Company
Class
Value
↓
Shares
% of portfolio
PAR PACIFIC HOLDINGS, INC.
—
$22.65M
361,658
0.5%
Crescent Energy Co
—
$22.49M
1,665,818
0.5%
BankUnited, Inc.
—
$22.42M
496,409
0.5%
Enova International, Inc.
—
$22.05M
162,349
0.4%
FIRST FINANCIAL BANCORP /OH
—
$21.70M
778,400
0.4%
United Natural Foods, Inc.
—
$21.60M
479,404
0.4%
TEEKAY TANKERS LTD
—
$21.43M
292,342
0.4%
DHT HOLDINGS INC
—
$21.24M
1,162,679
0.4%
Andersons, Inc.
—
$21.07M
293,468
0.4%
TALOS ENERGY INC.
—
$20.63M
1,308,704
0.4%
LCI INDUSTRIES
—
$20.38M
165,679
0.4%
HAMILTON INSURANCE GROUP LTD
—
$20.33M
681,366
0.4%
SiriusPoint Ltd
—
$20.29M
941,922
0.4%
WESBANCO INC
—
$20.17M
584,832
0.4%
Provident Financial Services Inc
—
$20.17M
953,012
0.4%
NETSCOUT SYSTEMS, INC.
—
$20.16M
634,039
0.4%
COSTAMARE INC
—
$19.85M
1,174,264
0.4%
OLIN Corp
—
$19.77M
664,843
0.4%
SCORPIO TANKERS INC
—
$19.29M
258,418
0.4%
Callaway Golf Co
—
$19.14M
1,378,843
0.4%
RENASANT CORP
—
$18.89M
522,870
0.4%
V2X, Inc.
VVX
Common Stock
$18.10M
264,173
0.4%
VISTEON CORP
—
$17.85M
195,957
0.4%
Alphabet Inc.
—
$17.65M
61,512
0.4%
TRINITY INDUSTRIES INC
—
$17.51M
544,206
0.4%
Northern Oil & Gas Inc
—
$17.49M
598,233
0.4%
SEADRILL Ltd
—
$17.02M
374,079
0.3%
BANC OF CALIFORNIA, INC.
—
$16.90M
961,299
0.3%
TRUSTMARK CORP
—
$16.78M
398,315
0.3%
DNOW Inc.
—
$16.68M
1,400,434
0.3%
WAFD INC
—
$16.46M
524,151
0.3%
BANNER CORP
—
$16.44M
270,964
0.3%
EXPRO GROUP HOLDINGS N.V.
—
$16.39M
941,473
0.3%
Fresh Del Monte Produce Inc
—
$16.36M
406,392
0.3%
Pediatrix Medical Group Inc
—
$16.08M
751,776
0.3%
Enterprise Financial Services Corp
—
$16.00M
295,712
0.3%
FIRST BUSEY CORP /NV
—
$15.99M
632,633
0.3%
NATIONAL ENERGY SERVICES REU
—
$15.87M
739,018
0.3%
KAISER ALUMINUM CORP
—
$15.82M
131,315
0.3%
Beacon Financial Corp
—
$15.81M
527,146
0.3%
SIMMONS FIRST NATIONAL CORP
—
$15.67M
805,587
0.3%
CENTRAL GARDEN & PET CO
—
$15.52M
478,740
0.3%
BENCHMARK ELECTRONICS INC
—
$15.51M
276,657
0.3%
FIRST MERCHANTS CORP
—
$15.35M
396,222
0.3%
DELUXE CORP
—
$15.18M
551,298
0.3%
Hilltop Holdings Inc.
—
$15.15M
423,085
0.3%
1ST SOURCE CORP
—
$14.82M
214,068
0.3%
PHOTRONICS INC
—
$14.66M
362,834
0.3%
Select Water Solutions, Inc.
—
$14.62M
955,738
0.3%
REX AMERICAN RESOURCES Corp
—
$14.44M
316,816
0.3%
← Prev
Page 2 of 25
Next →