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Jackson Creek Investment Advisors LLC

All holdings · as of Dec 31, 2025

291 positions

CompanyClassValueShares% of portfolio
Enova International, Inc.$3.1K19,4120.9%
Amneal Pharmaceuticals, Inc.$2.8K222,1330.8%
KAISER ALUMINUM CORP$2.7K23,8600.8%
TechnipFMC plc$2.7K59,6930.8%
Indivior Pharmaceuticals Inc$2.6K72,3830.8%
JABIL INC$2.6K11,2900.8%
UNIVERSAL HEALTH SERVICES INC$2.5K11,4500.7%
Costamare Inc$2.5K156,7090.7%
HCI Group Inc.$2.4K12,2920.7%
MASTEC INC$2.3K10,7190.7%
Amkor Technology Inc$2.3K58,6100.7%
APA Corp$2.3K92,7720.7%
Pediatrix Medical Group Inc$2.3K105,8850.7%
Ensign Group Inc/The$2.3K12,9820.7%
Zurn Elkay Water Solutions Corp$2.3K48,5390.7%
COMMERCIAL METALS Co$2.3K32,5200.7%
National Vision Holdings, Inc.$2.2K86,4310.7%
ADT Inc.$2.2K275,1490.7%
INTERFACE INC$2.2K79,1280.7%
EZCORP INC$2.2K111,8600.6%
VERACYTE INC$2.2K51,1470.6%
HUNTINGTON INGALLS INDUSTRIES, INC.$2.1K6,3170.6%
DIGI INTERNATIONAL INC$2.1K48,6340.6%
Viatris Inc$2.1K168,2070.6%
GATX CORP$2.1K12,3160.6%
BUCKLE INC$2.1K39,0510.6%
CareTrust REIT, Inc.$2.1K57,2460.6%
Arcutis Biotherapeutics, Inc.$2.1K71,0350.6%
OPENLANE Inc$2.1K69,1280.6%
LAUREATE EDUCATION, INC.$2.0K60,6260.6%
TTM Technologies Inc$2.0K29,5030.6%
CALIX, INC$2.0K38,4300.6%
EnerSys$2.0K13,8410.6%
STANDARD MOTOR PRODUCTS, INC.$2.0K55,1110.6%
Jackson Financial Inc.$2.0K19,0250.6%
OMNICELL, INC.$2.0K44,6270.6%
Sabra Health Care REIT, Inc.$2.0K103,9090.6%
Materion Corp$2.0K15,7680.6%
OSI Systems Inc$2.0K7,6600.6%
Green Dot Corporation$1.9K151,0590.6%
CARVANA CO.$1.9K4,5720.6%
QCR HOLDINGS INC$1.9K22,8640.6%
Argan, Inc.$1.9K6,0770.6%
Customers Bancorp, Inc.$1.9K26,0360.6%
UiPath, Inc.$1.9K115,9500.6%
VIAVI SOLUTIONS INC.$1.9K105,9050.6%
Great Lakes Dredge & Dock Corp$1.9K143,3210.6%
BORGWARNER INC$1.9K41,4040.6%
H2O AMERICA$1.9K37,8630.5%
NEWMARK GROUP, INC.$1.9K106,8420.5%
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