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JB CAPITAL PARTNERS LP

Q1 2025 · 13F-HR

JB CAPITAL PARTNERS LPholdings as filed

Filed 2025-05-14 · accession 0001213900-25-043366

$476.4M
Reported value
79
Positions
2025-03-31
Period end
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Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
750491102RDNTRadNet Inc$73.3M15.4%1,474,061CommonSOLE
783754104RYZRyerson Holding Corporation$48.9M10.3%2,131,069CommonSOLE
12008R107BLDRBuilders FirstSource Inc$36.5M7.67%292,265CommonSOLE
218937100CNRCore Natural Resources$36.0M7.55%466,779CommonSOLE
683797104OPYOppenheimer Holdings Inc$30.0M6.29%503,954CommonSOLE
09624H208BXCBluelinx Holdings Inc$29.5M6.20%393,649CommonSOLE
89484T104Nexxen International LTD$29.2M6.12%3,492,557CommonSOLE
235825205DANDana Incorporated$24.5M5.15%1,852,293CommonSOLE
901109108TPCTutor Perini Corp$20.7M4.35%894,554CommonSOLE
21871N101CXWCoreCivic Inc$17.1M3.60%845,210CommonSOLE
92645B103VCTRVictory Cap Holdings Inc$16.0M3.36%276,812CommonSOLE
53222Q103LCUTLifetime Brands$7.0M1.48%1,447,621CommonSOLE
44951W106IESCIES Holdings Inc$6.9M1.45%41,845CommonSOLE
68162K106ZEUSOlympic Steel Inc$6.5M1.37%206,332CommonSOLE
03938L203MTArcelormittal SA Luxemberg$5.9M1.24%205,000CommonSOLE
015658107ASTLAlgoma Steel Group$5.4M1.13%992,177CommonSOLE
17878Y207CVEOCiveo Corporation$4.5M0.94%193,750CommonSOLE
024061103DCHAmerican Axle & MFG Holdings Inc$3.9M0.82%957,500CommonSOLE
892231101TSQTownsquare Media Inc$3.7M0.78%467,807CommonSOLE
194693107CIGIColliers Intl Group Inc$3.7M0.77%30,104CommonSOLE
578605107MECMayville Engineering Co Inc$3.4M0.71%250,512CommonSOLE
829226109Sinclair Broadcast Group Inc$3.1M0.65%195,000CommonSOLE
34380C102IDIEURFluent Co$3.1M0.65%1,415,585CommonSOLE
032159105AXRAMREP Corp$2.8M0.59%141,360CommonSOLE
206787103CNDTConduent Inc$2.8M0.59%1,038,061CommonSOLE
143905107CSVCarriage Services Inc$2.7M0.58%71,007CommonSOLE
74934Q108RICKRCI Hospitality Holdings Inc$2.6M0.54%60,000CommonSOLE
00922R105ATSG*Air Transport Services Group$2.4M0.51%109,022CommonSOLE
G33856108GSMFerroglobe PLC$2.4M0.51%655,000CommonSOLE
36162J106GEOGeo Group Inc$2.3M0.49%80,000CommonSOLE
60649T107MGMistras Group Inc$2.1M0.45%202,243CommonSOLE
88830M102TWITitan International Inc$2.1M0.44%50,000CommonSOLE
40609P105HNRGHallador Energy Company$2.0M0.41%160,000CommonSOLE
75134P900Ramaco Resources Inc$1.9M0.41%235,000CommonSOLE
45675Y104IIIInformation Services Group Inc$1.9M0.40%487,641CommonSOLE
444144109HDSNHudson Technologies Inc$1.9M0.40%306,200CommonSOLE
206704108BBCPConcrete Pumping Holdings Inc$1.7M0.36%312,100CommonSOLE
33767E202FSVFirstService Corp$1.7M0.35%10,104CommonSOLE
700666100PKOHPark-Ohio Holdings Corp$1.7M0.35%76,899CommonSOLE
84920Y106SPWHSportsmans Warehouse Holdings Inc$1.6M0.34%1,611,794CommonSOLE
047649108ATKRAtkore International Group Inc$1.5M0.31%25,000CommonSOLE
53263P105LMBLimbach Holdings Inc$1.5M0.31%20,000CommonSOLE
92214X106VREXVarex Imaging$1.3M0.27%110,000CommonSOLE
781846308RUSHBRush Enterprises Inc Cl B$1.2M0.24%20,418CommonSOLE
67098H104OIO-I Glass Inc$1.1M0.23%95,000CommonSOLE
781846209RUSHARush Enterprises Inc Cl A$1.1M0.23%20,418CommonSOLE
88642R109TDWTidewater$1.1M0.22%25,000CommonSOLE
83191H107SNDSmart Sand Inc$906,5000.19%350,000CommonSOLE
80349A208SARSaratoga Investment Corp$839,4060.18%33,847CommonSOLE
89142B107CURVTorrid Holdings Inc$822,0000.17%150,000CommonSOLE
302635206FSKFS KKR Capital Corp$785,6250.16%37,500CommonSOLE
366505105GTXGarrett Motion Inc$761,6700.16%91,000CommonSOLE
00175J107POWWAmmo Inc$759,0000.16%550,000CommonSOLE
98379L100XPELXpel Inc$734,5000.15%25,000CommonSOLE
68628V308ORNOrion Group Hldgs Inc$679,9000.14%130,000CommonSOLE
45782N108INSEInspired Entertainment$555,1000.12%65,000CommonSOLE
896215209TRSTrimas Corp$521,0590.11%22,277CommonSOLE
75282U104RNGRRanger Energy Services Inc$516,0870.11%36,576CommonSOLE
74880P104QIPTQuipt Home Medical$466,0000.10%200,000CommonSOLE
302301106EZPWEzcorp Inc$441,6000.09%30,000CommonSOLE
523768406LEELee Enterprises Inc$415,2000.09%40,000CommonSOLE
75134P303Ramaco Resources Inc$391,1210.08%55,010CommonSOLE
389375106GTNGray Television Inc$377,1360.08%87,300CommonSOLE
656811106NOANORTH AMERN CONSTR GROUP LTD$315,8000.07%20,000CommonSOLE
10948C107BVBrightview Holdings Inc$256,8000.05%20,000CommonSOLE
384313508EAFEURGraftech INTL LTD$254,6960.05%292,754CommonSOLE
76674Q107RMNIRimini Str Inc Del$205,9920.04%59,193CommonSOLE
781386305RDNWRumbleOn Inc$197,4000.04%70,000CommonSOLE
981419104WRLDWorld Acceptance Corp$135,2820.03%1,069CommonSOLE
92707Y108VFFVillage Farms International Inc$109,8000.02%180,000CommonSOLE
25065K104DXLGDestination XL Group Inc$109,5000.02%75,000CommonSOLE
G9059U107TSEOFTrinseo SA$99,0940.02%27,001CommonSOLE
50077B207KTOSKratos Defense & Sec Solutions$97,4130.02%3,281CommonSOLE
185899101CLFCleveland-Cliffs Inc New$93,2970.02%11,350CommonSOLE
202608105CVGICommercial Vehicle Group Inc$77,4200.02%67,322CommonSOLE
36241U106GSITGSI Technology$66,9900.01%33,000CommonSOLE
156492100CNTYCentury Casinos Inc$64,6980.01%38,283CommonSOLE
31189V109FTHMFathom Holdings Inc$61,4960.01%69,882CommonSOLE
98400M101XELBUSDXcel Brands Inc$42,3000.01%15,000CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.