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Prescott Group Capital Management, L.L.C.

All holdings · as of Jun 30, 2026

292 positions

CompanyClassValueShares% of portfolio
New Oriental Education & Technology Group Inc$459.1K10,0000.0%
HEICO CORP$463.0K1,3000.0%
Century Casinos, Inc.$488.5K381,6600.0%
GRAPHIC PACKAGING HOLDING CO$528.5K50,0000.0%
JPMORGAN CHASE & CO$530.3K1,6200.0%
Netflix Inc$547.4K7,6670.0%
STARBUCKS CORP$554.4K5,4250.0%
Visa Inc$564.4K1,6450.0%
THE GOLDMAN SACHS GROUP, INC.$573.4K5670.0%
NIKE, Inc.$590.8K14,3930.1%
AGCO CORP /DE$598.5K5,0000.1%
NEWMARK GROUP, INC.$604.4K40,0000.1%
AMERICAS CARMART INC$636.1K227,9760.1%
CORNING INC /NY$690.4K2,7030.1%
CDW Corp$703.2K5,0000.1%
COVENANT LOGISTICS GROUP, INC.CVLGCommon Stock$706.9K16,0000.1%
DHI GROUP, INC.$716.6K193,1410.1%
SONIDA SENIOR LIVING, INC.$718.2K17,6040.1%
CrowdStrike Holdings, Inc.$721.2K9450.1%
CATO CORP NEW$728.2K224,7670.1%
ReposiTrak, Inc.$764.9K84,9920.1%
Fortrea Holdings Inc.$796.4K45,7680.1%
Mastercard Inc$803.8K1,5650.1%
DECKERS OUTDOOR CORP$816.2K8,2200.1%
Arista Networks, Inc.ANETCommon Stock$829.7K4,8840.1%
Shutterstock, Inc.$837.0K60,0000.1%
Alico, Inc.ALCOCommon Stock$842.8K20,3720.1%
PENN Entertainment, Inc.$854.4K40,0000.1%
RENTOKIL INITIAL PLC$858.3K30,0000.1%
COMMUNITY HEALTH SYSTEMS INC$863.1K258,4060.1%
MP Materials Corp. / DE$867.0K15,4800.1%
ARM HOLDINGS PLC /UKARMADR$873.0K2,4620.1%
HERSHEY CO$877.3K5,0000.1%
CIRRUS LOGIC, INC.$891.2K6,0000.1%
LAM RESEARCH CORP$891.8K2,0580.1%
ADVANCED MICRO DEVICES INC$896.9K1,5440.1%
ORACLE CORP$905.1K6,1760.1%
KLA CORP$944.4K3,1300.1%
IAMGOLD CORP$950.4K60,0000.1%
ASML HLDG NV$970.8K4880.1%
SUPERIOR GROUP OF COMPANIES, INC.SGCCommon Stock$971.1K74,0180.1%
GAMBLING COM GROUP LIMITED$1.00M527,9590.1%
NACCO INDUSTRIES INCNCCommon Stock$1.01M20,0940.1%
ACI WORLDWIDE, INC.$1.01M20,0000.1%
PayPal Holdings, Inc.$1.04M24,0000.1%
PARK OHIO HOLDINGS CORPPKOHCommon Stock$1.04M27,0240.1%
CHAMPION HOMES INC$1.06M12,0000.1%
Palo Alto Networks Inc$1.07M3,1490.1%
CARRIER GLOBAL Corp$1.09M14,8670.1%
IQVIA HOLDINGS INC.$1.14M5,9000.1%
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