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Oberweis Asset Management Inc

All holdings · as of Dec 31, 2025

179 positions

CompanyClassValueShares% of portfolio
National Vision Holdings, Inc.$20.26M784,5000.7%
Assurant Inc$19.99M83,0000.7%
CarGurus, Inc.$19.88M518,4000.7%
Box Inc$19.51M652,3200.7%
DANA Inc$18.92M796,5000.7%
Impinj Inc$18.64M107,1200.7%
FEDERAL SIGNAL CORP /DE$18.08M166,5000.7%
Blue Bird Corporation$17.98M382,6380.7%
SENSIENT TECHNOLOGIES CORP$17.66M188,0000.6%
Genius Sports Ltd$17.48M1,585,9000.6%
Vistance Networks, Inc.$17.42M960,9120.6%
Solaris Energy Infrastructure, Inc.$16.87M366,9000.6%
Grand Canyon Education, Inc.$16.60M99,8000.6%
Ultra Clean Holdings Inc$15.92M628,5000.6%
ACI WORLDWIDE, INC.$15.81M330,7020.6%
Core Natural Resources, Inc.$15.79M178,4000.6%
LITTELFUSE INC /DE$15.76M62,3000.6%
Zeta Global Holdings Corp.$15.61M767,0200.6%
POWELL INDUSTRIES INC$15.52M48,7000.6%
SPX Technologies, Inc.$15.38M76,9000.6%
Indivior Plc$15.25M424,9410.6%
Super Group SGHC Ltd.$15.16M1,268,5000.6%
ANI PHARMACEUTICALS INC$14.91M188,8300.5%
Alignment Healthcare, Inc.$14.76M747,5000.5%
Qualys Inc$14.33M107,8000.5%
Mirion Technologies, Inc.$14.23M607,8000.5%
Commvault Systems Inc$13.90M110,9000.5%
Remitly Global, Inc.$13.84M1,002,8000.5%
CATALYST PHARMACEUTICALS, INC.$13.70M586,9700.5%
NLIGHT, INC.$13.37M356,4000.5%
LivaNova PLC$13.06M212,3000.5%
Dave Inc./DE$13.05M58,9220.5%
HEALTHEQUITY, INC.$12.97M141,5800.5%
CALIX, INC$12.95M244,6000.5%
Kiniksa Pharmaceuticals International, plc$12.90M312,8000.5%
Vita Coco Company, Inc.$12.37M233,4000.5%
Zurn Elkay Water Solutions Corp$12.37M266,0000.5%
EZCORP INC$12.19M627,9000.4%
INTERFACE INC$12.17M435,8000.4%
Skyward Specialty Insurance Group, Inc.$12.14M237,5000.4%
Adaptive Biotechnologies Corp$12.09M744,5000.4%
Pediatrix Medical Group Inc$11.98M559,9870.4%
Ameris Bancorp$11.62M156,4000.4%
Fabrinet$11.47M25,2000.4%
Liquidia CorpLQDACommon Stock$11.35M329,2000.4%
Turning Point Brands, Inc.$11.22M103,5000.4%
Axogen, Inc.$11.00M336,2000.4%
WORKIVA INC$11.00M127,5000.4%
Matador Resources Co$10.78M253,9000.4%
Argan, Inc.$10.33M32,9710.4%
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