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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
▲
▼
Penguin Solutions, Inc.
PENG
Common Stock
$21.68M
1,108,336
0.5%
Northeast Bank
—
$21.01M
202,156
0.4%
STANDEX INTERNATIONAL CORP/DE
—
$20.82M
95,841
0.4%
TD SYNNEX Corp
—
$20.71M
137,877
0.4%
Materion Corp
—
$20.48M
164,750
0.4%
LeMaitre Vascular, Inc.
—
$20.11M
247,907
0.4%
Assurant Inc
—
$20.08M
83,391
0.4%
ARTIVION, INC.
—
$20.01M
438,745
0.4%
1ST SOURCE CORP
—
$19.92M
318,733
0.4%
Kite Realty Group Trust
—
$19.88M
829,404
0.4%
TEXAS CAPITAL BANCSHARES INC/TX
—
$19.79M
218,542
0.4%
INSIGHT ENTERPRISES INC
—
$19.72M
242,104
0.4%
Baldwin Insurance Group, Inc.
—
$19.70M
819,695
0.4%
ITT INC.
—
$19.47M
112,201
0.4%
CASELLA WASTE SYSTEMS INC
—
$19.39M
197,970
0.4%
COASTAL FINANCIAL CORP
—
$19.35M
168,825
0.4%
SouthState Bank Corp
SSB
Common Stock
$19.34M
205,551
0.4%
PROTAGONIST THERAPEUTICS INC
—
$19.34M
221,444
0.4%
Helix Acquisition Corp. III
—
$19.26M
327,115
0.4%
National Bank Holdings Corp
—
$19.21M
505,333
0.4%
Jackson Financial Inc.
—
$19.13M
179,390
0.4%
Bancorp Inc/The
—
$19.00M
281,469
0.4%
Northern Oil & Gas Inc
—
$18.98M
884,006
0.4%
Preferred Bank/Los Angeles CA
—
$18.83M
199,419
0.4%
Performance Food Group Co
—
$18.65M
207,351
0.4%
Avery Dennison Corp
—
$18.37M
100,998
0.4%
ICU MEDICAL INC/DE
—
$18.27M
128,039
0.4%
DANA Inc
—
$17.96M
756,015
0.4%
IDACORP Inc
—
$17.94M
141,776
0.4%
Atmus Filtration Technologies Inc.
—
$17.85M
343,848
0.4%
CAVCO INDUSTRIES, INC.
—
$17.65M
29,876
0.4%
Third Coast Bancshares, Inc.
TCBX
Common Stock
$17.43M
458,617
0.4%
Acushnet Holdings Corp.
—
$17.39M
217,803
0.4%
Essential Properties Realty Trust, Inc.
—
$17.28M
582,586
0.4%
ANI PHARMACEUTICALS INC
—
$16.88M
213,801
0.4%
BENCHMARK ELECTRONICS INC
—
$16.88M
394,698
0.4%
American Healthcare REIT, Inc.
—
$16.88M
358,610
0.4%
Cadence Bank
—
$16.77M
391,355
0.4%
Community Healthcare Trust Inc
—
$16.75M
1,019,810
0.4%
AXCELIS TECHNOLOGIES INC
—
$16.53M
205,737
0.4%
ICHOR HOLDINGS, LTD.
—
$16.45M
892,524
0.3%
Applied Industrial Technologies Inc
—
$16.40M
63,864
0.3%
UGI CORP /PA
—
$16.12M
430,703
0.3%
QUAKER CHEMICAL CORP
—
$16.05M
116,887
0.3%
COHERENT CORP
—
$15.95M
86,422
0.3%
SELECTIVE INSURANCE GROUP INC
—
$15.88M
189,838
0.3%
LXP INDUSTRIAL TRUST
—
$15.79M
318,409
0.3%
FIVE STAR BANCORP
FSBC
Common Stock
$15.70M
438,831
0.3%
APPLIED OPTOELECTRONICS, INC.
—
$15.59M
447,109
0.3%
Green Brick Partners, Inc.
—
$15.54M
248,037
0.3%
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