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KENNEDY CAPITAL MANAGEMENT LLC
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Back to KENNEDY CAPITAL MANAGEMENT LLC
K
Kennedy Capital Management LLC
All holdings · as of Dec 31, 2025
531 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
Valmont Industries Inc
—
$65.88M
163,754
1.4%
QCR HOLDINGS INC
—
$63.48M
762,068
1.3%
Chefs' Warehouse, Inc.
—
$50.87M
816,088
1.1%
MERCURY SYSTEMS INC
—
$48.95M
670,489
1.0%
STIFEL FINANCIAL CORP
—
$48.13M
384,332
1.0%
Globus Medical Inc
—
$43.01M
492,641
0.9%
EnerSys
—
$38.56M
262,793
0.8%
FULLER H B CO
—
$37.47M
630,194
0.8%
Bank OZK
—
$34.08M
740,531
0.7%
AtriCure Inc
—
$33.12M
837,326
0.7%
Wintrust Financial Corp
—
$33.01M
236,060
0.7%
GATES INDUSTRIAL CORP PLC
—
$32.82M
1,528,525
0.7%
Rev Group Inc
—
$31.52M
518,333
0.7%
Piper Sandler Cos
—
$31.37M
92,339
0.7%
ALAMO GROUP INC
—
$30.73M
183,065
0.7%
Home BancShares Inc/AR
—
$30.73M
1,106,228
0.7%
Halozyme Therapeutics Inc
—
$29.19M
433,766
0.6%
Crane Co
—
$29.09M
157,738
0.6%
ONTO INNOVATION INC.
—
$29.05M
184,005
0.6%
Solaris Energy Infrastructure, Inc.
—
$28.95M
629,747
0.6%
CATALYST PHARMACEUTICALS, INC.
—
$28.23M
1,209,692
0.6%
StandardAero, Inc.
SARO
Common Stock
$28.15M
981,533
0.6%
Axos Financial Inc
—
$26.62M
308,935
0.6%
Origin Bancorp, Inc.
—
$26.56M
706,235
0.6%
PATRICK INDUSTRIES INC
—
$25.91M
238,981
0.5%
AZZ INC
—
$25.75M
240,271
0.5%
Avadel Pharmaceuticals PLC
—
$25.73M
1,194,197
0.5%
FIRST INDUSTRIAL REALTY TRUST INC
—
$25.43M
444,051
0.5%
UFP INDUSTRIES INC
—
$24.93M
273,818
0.5%
DUCOMMUN INC /DE
—
$24.92M
262,003
0.5%
RANGE RESOURCES CORP
—
$24.76M
702,104
0.5%
OLD SECOND BANCORP INC
—
$24.71M
1,267,042
0.5%
OSHKOSH CORP
—
$24.53M
195,276
0.5%
Helios Technologies Inc
—
$24.47M
457,526
0.5%
Boot Barn Holdings, Inc.
—
$24.37M
138,112
0.5%
EAGLE MATERIALS INC
—
$24.27M
117,442
0.5%
GLACIER BANCORP, INC.
—
$24.16M
548,536
0.5%
TRIMAS CORP
—
$24.06M
678,672
0.5%
AdaptHealth Corp.
—
$23.98M
2,408,038
0.5%
Integer Holdings Corp
—
$23.57M
300,462
0.5%
TopBuild Corp
—
$23.49M
56,296
0.5%
Addus HomeCare Corp
—
$23.45M
218,341
0.5%
MACOM Technology Solutions Holdings, Inc.
—
$23.43M
136,819
0.5%
MAGNITE, INC.
—
$23.31M
1,435,970
0.5%
MKS Inc
—
$23.03M
144,139
0.5%
ELI LILLY & Co
—
$22.74M
21,160
0.5%
ConnectOne Bancorp, Inc.
—
$22.65M
863,983
0.5%
RESIDEO TECHNOLOGIES, INC.
—
$22.58M
642,829
0.5%
HF Sinclair Corp
—
$21.81M
473,389
0.5%
JFrog Ltd
—
$21.78M
348,779
0.5%
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