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Mangrove Partners Im, LLC

All holdings · as of Dec 31, 2025

371 positions

CompanyClassValueShares% of portfolio
TETRA TECHNOLOGIES INC$240.8K25,7010.0%
INSTEEL INDUSTRIES INC$240.3K7,5890.0%
DAUCH CORPORATION$240.2K37,4770.0%
UNITED FIRE GROUP INC$239.0K6,5740.0%
UPBOUND GROUP, INC.$238.9K13,6030.0%
Crescent Energy Co$238.7K28,4550.0%
APA Corp$238.7K9,7590.0%
TORO CO$236.6K3,0050.0%
Applied Digital Corp$236.4K9,6430.0%
MOHAWK INDUSTRIES INC$235.9K2,1580.0%
RingCentral Inc$235.1K8,1410.0%
JOYY Inc.JOYYADR$234.4K3,6190.0%
HARMONIC INC.$234.3K23,6910.0%
BORGWARNER INC$234.3K5,1990.0%
American Healthcare REIT, Inc.$231.7K4,9230.0%
TTM Technologies Inc$230.3K3,3370.0%
CELLEBRITE DI LTD$229.9K12,7510.0%
Civitas Resources, Inc.CIVICommon Stock$229.2K8,4600.0%
Terreno Realty Corp$228.5K3,8920.0%
Aveanna Healthcare Holdings, Inc.AVAHCommon Stock$228.0K27,9080.0%
Constellium SE$227.8K12,0840.0%
Etsy Inc$227.1K4,0960.0%
Planet Labs PBC$226.6K11,4920.0%
STANDARD MOTOR PRODUCTS, INC.$224.8K6,1010.0%
COVENANT LOGISTICS GROUP, INC.CVLGCommon Stock$224.6K10,1900.0%
United Natural Foods, Inc.$224.5K6,6680.0%
SKYWORKS SOLUTIONS, INC.$224.5K3,5400.0%
WERNER ENTERPRISES INC$223.8K7,4570.0%
Affiliated Managers Group Inc$223.4K7750.0%
Allegiant Travel CO$223.2K2,6180.0%
ADT Inc.$223.2K27,6530.0%
Cipher Digital Inc.$222.5K15,0750.0%
SEABOARD CORP DEL$222.2K500.0%
CRA INTERNATIONAL, INC.$221.0K1,1010.0%
Ouster, Inc.$219.0K10,1220.0%
Knowles Corp$218.2K10,1820.0%
Argan, Inc.$218.1K6960.0%
STAR BULK CARRIERS CORP.$217.0K11,2910.0%
CHAMPION HOMES INC$216.6K2,5630.0%
DILLARD'S, INC.DDSCommon Stock$216.5K3570.0%
So-Young International Inc.SYADR$216.1K84,4300.0%
DIODES INC /DEL$216.1K4,3790.0%
WEIBO CorpWBADR$216.0K21,1330.0%
TransMedics Group, Inc.$214.6K1,7640.0%
BEYOND MEAT, INC.$214.5K261,5590.0%
FREQUENCY ELECTRS INC$213.3K3,9610.0%
VIASAT INC$212.2K6,1580.0%
Lemonade, Inc.$212.2K2,9810.0%
KFORCE INC$212.1K6,8610.0%
NU SKIN ENTERPRISES, INC.$212.1K22,0460.0%
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