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Aristides Capital LLC

All holdings · as of Dec 31, 2025

243 positions

CompanyClassValueShares% of portfolio
FREQUENCY ELECTRS INC$280.1K5,2020.1%
CarGurus, Inc.$272.1K7,0950.1%
REX AMERICAN RESOURCES Corp$271.3K8,3930.1%
Dorman Products, Inc.$270.3K2,1940.1%
THARIMMUNE INC$253.0K83,5000.1%
MIDDLEBY CORP$249.2K1,6760.1%
DANAOS CORPORATION$242.0K2,5700.1%
Genasys Inc.GNSSCommon Stock$241.9K112,7550.1%
BRINKS CO$238.2K2,0410.1%
KAMADA LTD$233.1K33,0150.1%
PHINIA INC.$229.4K3,6590.1%
OPEN TEXT CORPORATION$229.1K7,0310.1%
RICHARDSON ELECTRONICS, LTD.$227.8K20,9400.1%
PRECISION DRILLING CORP$225.2K3,1330.1%
GOLD ROYALTY CORP$225.1K113,7070.1%
REV GROUP INC$225.1K3,7010.1%
ENERFLEX LTD$222.1K14,3950.1%
Ibotta, Inc.IBTACommon Stock$220.5K9,7000.1%
Bumble Inc.$214.2K60,0000.1%
CRA INTERNATIONAL, INC.$213.9K1,0660.1%
Strategic Education Inc$213.7K2,6640.1%
CVR PARTNERS, LPUANMLP$213.6K2,0840.1%
Adtalem Global Education Inc$213.4K2,0620.1%
VERRA MOBILITY Corp$213.3K9,5190.1%
AMDOCS LTD$212.5K2,6400.1%
Frontdoor, Inc.$211.8K3,6720.1%
Perrigo Company plc$211.6K15,2000.1%
Madison Square Garden Entertainment Corp$211.0K3,9150.1%
NWPX Infrastructure Inc$210.5K3,3690.1%
Thryv Holdings, Inc.$209.9K34,7000.1%
ExlService Holdings Inc$208.8K4,9200.1%
Grand Canyon Education, Inc.$208.6K1,2540.1%
MOOG INC.$208.5K8560.1%
Bath & Body Works, Inc.$208.4K10,3780.1%
ARMSTRONG WORLD INDUSTRIES INC$207.3K1,0850.1%
Six Flags Entertainment Corporation/NEW$207.1K13,5000.1%
CoreCivic Inc$206.6K10,8110.1%
FRANKLIN ELECTRIC CO INC$204.9K2,1450.1%
VONTIER CORP$204.8K5,5080.1%
Empery Digital Inc.$204.5K44,8000.1%
BOYD GAMING CORP$204.5K2,3990.1%
Thermon Group Holdings, Inc.$204.4K5,5010.1%
IDT CORP$204.2K3,9880.1%
ENERPAC TOOL GROUP CORP$203.6K5,3240.1%
GRIFFON CORP$203.6K2,7640.1%
SITE Centers Corp.$203.5K31,7000.1%
BARRETT BUSINESS SERVICES INC$203.4K5,6180.1%
FTI CONSULTING, INC$203.1K1,1890.1%
LIFEMD INC$202.9K59,5000.1%
HARMONIC INC.$202.3K20,4600.1%
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