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Minerva Advisors LLC

Q3 2024 · 13F-HR

Minerva Advisors LLCholdings as filed

Filed 2024-11-08 · accession 0001462390-24-000047

$172.6M
Reported value
57
Positions
2024-09-30
Period end
View analyzed profile →PRO

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
913837100UNIVERSAL STAINLESS & ALLOY$16.8M9.74%435,091CommonSOLE
276317104EMLEASTERN CO$15.9M9.23%497,210CommonSOLE
927651109VIRCVIRCO MANUFACTURING CO$15.2M8.82%1,101,689CommonSOLE
390607109GLDDGREAT LAKES DREDGE & DOCK CO$14.1M8.18%1,341,807CommonSOLE
894650100TGTREDEGAR CORP$12.1M7.03%1,663,107CommonSOLE
046433108ATROASTRONICS CORP$9.0M5.21%463,105CommonSOLE
296056104ESCAESCALADE INC$7.5M4.36%537,814CommonSOLE
23335Q100DLHCDLH HOLDINGS CORP$6.0M3.45%636,377CommonSOLE
904677200UFIUNIFI INC$5.9M3.45%810,228CommonSOLE
45685K102INFUINFUSYSTEM HLDGS INC$5.7M3.28%846,851CommonSOLE
Y62132108NVGSNAVIGATOR HOLDINGS LTD$4.9M2.85%306,212CommonSOLE
357023100RAILFREIGHTCAR AMERICA INC$4.5M2.62%419,104CommonSOLE
70319R109PBHCPATHFINDER BANCORP INC$4.1M2.38%262,204CommonSOLE
886029206THRYTHRYV HOLDINGS IINC$3.9M2.24%224,829CommonSOLE
133034108CACCAMDEN NATIONAL CORP$3.7M2.14%89,568CommonSOLE
492854104KEQUKEWAUNEE SCIENTIFIC CP$3.5M2.02%105,182CommonSOLE
786598300SGASAGA COMMUNICATIONS INC$3.3M1.90%230,478CommonSOLE
224633107CRD/BCRAWFORD & CO CL B$3.1M1.78%276,688CommonSOLE
917488108UTMDUTAL MED PRODS INC$2.8M1.63%42,328CommonSOLE
811054402SSPSCRIPPS E W CO OHIO$2.7M1.55%1,192,441CommonSOLE
65342T106NODKNI HOLDINGS INC$2.0M1.18%129,900CommonSOLE
826546103SIFSIFCO INDUSTRIES INC$2.0M1.14%423,889CommonSOLE
909214306UISUNISYS CORP$2.0M1.14%345,347CommonSOLE
350060109FSTRFOSTER L B CO$1.6M0.95%79,798CommonSOLE
59540G107MPBMID PENN BANCORP$1.5M0.89%51,732CommonSOLE
92705T200VILLAGE BANK & TRUST FIN CO$1.5M0.87%19,745CommonSOLE
21077F100CTGOCONTANGO ORE INC$1.3M0.78%70,147CommonSOLE
41165Y1001S4HARBOR ONE BANCORP INC NEW$1.1M0.66%88,414CommonSOLE
258278100DORMDORMAN PRODUCTS INC$971,0140.56%8,590CommonSHARED
174610105CFGCITIZENS FINL GROUP INC$968,6360.56%23,585CommonSOLE
302520101FNBFNB CORP$904,0980.52%64,075CommonSOLE
172922106CZNCCITIZENS & NORTHERN CORP$842,1270.49%42,900CommonSOLE
44931Q104ICC HOLDINGS INC$765,1050.44%33,367CommonSOLE
257701201DGICADONEGAL GROUP INC$684,3330.40%46,490CommonSOLE
31931U102FRBAFIRST BANK WILLIAMSTOWN NJ$625,3740.36%41,143CommonSOLE
15486W100CPBICENTRAL PLAINS BANCSHARES INC$616,4180.36%49,117CommonSOLE
911922102USLMUS LIME & MINERAL$608,1250.35%6,250CommonSHARED
197641103CLBKCOLUMBIA FINANCIAL$576,8640.33%33,794CommonSOLE
840441109SSBUSDSOUTH STATE CORP$549,7400.32%5,661CommonSHARED
440407104HBNCHORIZON BANCORP INDIANA$545,0590.32%35,052CommonSOLE
26828M106ECBKECB BANCORP INC$520,3630.30%36,440CommonSOLE
667340103NWBINORTHWEST BANCSHARES INC$508,4400.29%38,000CommonSOLE
174615104CZFSCITIZENS FINL SVCS INC$458,4260.27%7,803CommonSOLE
319829107FCFFIRST COMMONWEALTH FINANCIAL$438,6100.25%25,560CommonSOLE
510700107LAKE SHORE BANCORP INC$404,1830.23%30,118CommonSOLE
76525P100RMBIRICHMOND MUTUAL$387,0000.22%30,000CommonSOLE
33621E109FSFGFIRST SAVINGS FINANCIAL GP INC$386,0600.22%16,221CommonSOLE
203607106CBUCOMMUNITY BANK SYS INC$384,0430.22%6,618CommonSHARED
669549107NWFLNORWOOD FINANCIAL CORP$375,8170.22%13,681CommonSOLE
320817109FRMEFIRST MERCHANTS CORP$367,2510.21%9,875CommonSOLE
26942G100EBMTEAGLE BANCORP MONT INC$332,9260.19%21,098CommonSOLE
69318V103PBBKPB BANCSHARES INC$317,6520.18%20,560CommonSOLE
871565107ACNTASCENT INDUSTRIES$293,2010.17%30,415CommonSOLE
248019101DLXDELUXE CORP$270,9110.16%13,900CommonSHARED
74267C106PRAPROASSURANCE CORP$259,1990.15%17,234CommonSOLE
257701300DGICBDONEGAL GROUP INC$233,5560.14%17,856CommonSOLE
03074A102ASRVAMERISERV FINANC INC$151,9020.09%58,200CommonSOLE

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.