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QSV Equity Investors LLC
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Back to QSV Equity Investors LLC
QE
QSV Equity Investors LLC
All holdings · as of Dec 31, 2025
89 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
Bank OZK
—
$1.51M
32,827
2.2%
BRADY CORP
—
$1.48M
18,876
2.2%
Globus Medical Inc
—
$1.47M
16,832
2.2%
ITURAN LOCATION & CONTROL LTD
—
$1.45M
33,810
2.2%
CareTrust REIT, Inc.
—
$1.42M
39,359
2.1%
GLACIER BANCORP, INC.
—
$1.39M
31,587
2.1%
Primerica, Inc.
—
$1.34M
5,192
2.0%
HANOVER INSURANCE GROUP, INC.
—
$1.32M
7,209
1.9%
FB Financial Corp
—
$1.31M
23,395
1.9%
ExlService Holdings Inc
—
$1.25M
29,405
1.8%
Marketaxess Holdings Inc
—
$1.22M
6,753
1.8%
LANDSTAR SYSTEM INC
—
$1.20M
8,376
1.8%
Dorman Products, Inc.
—
$1.17M
9,496
1.7%
Evercore Inc
—
$1.16M
3,401
1.7%
WESBANCO INC
—
$1.14M
34,246
1.7%
Haemonetics Corporation
—
$1.12M
14,034
1.7%
Postal Realty Trust, Inc.
—
$1.12M
69,253
1.7%
GENTEX CORP
—
$1.09M
46,797
1.6%
Getty Realty Corp
—
$1.07M
39,250
1.6%
Innoviva Inc
—
$1.07M
53,571
1.6%
PROGRESS SOFTWARE CORP /MA
—
$1.07M
24,814
1.6%
KULICKE & SOFFA INDUSTRIES INC
—
$1.05M
23,139
1.6%
HANCOCK WHITNEY CORP
—
$1.05M
16,472
1.6%
ICF International Inc
—
$1.04M
12,218
1.5%
SEACOAST BANKING CORP OF FLORIDA
—
$1.00M
31,980
1.5%
QUAKER CHEMICAL CORP
—
$977.0K
7,115
1.4%
CHEMED CORP
—
$937.9K
2,192
1.4%
National Storage Affiliates Trust
—
$922.3K
32,695
1.4%
SPS Commerce Inc
—
$918.0K
10,300
1.4%
Cactus, Inc.
—
$909.3K
19,905
1.3%
ABM INDUSTRIES INC /DE
—
$899.0K
21,252
1.3%
Liberty Energy Inc
—
$896.3K
48,552
1.3%
HORIZON BANCORP INC /IN
—
$893.9K
52,708
1.3%
ESAB Corp
—
$885.9K
7,930
1.3%
TENNANT CO
—
$875.8K
11,883
1.3%
ALAMO GROUP INC
—
$865.5K
5,156
1.3%
BRUKER CORP
—
$850.9K
18,063
1.3%
TRINET GROUP, INC.
—
$850.8K
14,388
1.3%
ADVANCED ENERGY INDUSTRIES INC
—
$843.1K
4,027
1.2%
CATALYST PHARMACEUTICALS, INC.
—
$840.5K
36,010
1.2%
EVERTEC, Inc.
—
$830.2K
28,538
1.2%
Cohen & Steers, Inc.
—
$820.8K
13,074
1.2%
Innospec Inc
—
$818.5K
10,694
1.2%
Addus HomeCare Corp
—
$794.3K
7,396
1.2%
NexPoint Residential Trust, Inc.
—
$787.6K
26,165
1.2%
First American Financial Corp
—
$782.4K
12,734
1.2%
A10 Networks, Inc.
—
$777.7K
43,965
1.2%
U S PHYSICAL THERAPY INC /NV
—
$765.9K
9,808
1.1%
UFP INDUSTRIES INC
—
$760.1K
8,348
1.1%
POWER INTEGRATIONS INC
—
$757.0K
21,300
1.1%
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