MondegarAI
Pacific Ridge Capital Partners, LLC

Q4 2024 · 13F-HR

Pacific Ridge Capital Partners, LLCholdings as filed

Filed 2025-02-12 · accession 0001591546-25-000001

$435.7M
Reported value
139
Positions
2024-12-31
Period end
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Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
068463108BBSIBarrett Business Services Inc$12.3M2.82%282,443CommonSOLE
66405S100NBNNortheast Bank$12.0M2.75%130,418CommonSOLE
63886Q109NGSNatural Gas Services Group Inc$11.4M2.62%426,644CommonSOLE
120076104BBWBuild A Bear Workshop$11.4M2.61%247,038CommonSOLE
591774104MCBMetropolitan Bank Hld$10.7M2.45%182,731CommonSOLE
42727J102HRTGHeritage Insurance Hlds Inc$9.8M2.26%813,557CommonSOLE
667746101NWPXNorthwest Pipe$9.6M2.20%198,728CommonSOLE
30263Y104FSBWFS Bancorp$9.2M2.11%223,894CommonSOLE
620071100MPAAMotorCar Parts of America Inc$8.5M1.95%1,115,849CommonSOLE
016230104ALCOAlico Inc$8.1M1.85%310,977CommonSOLE
47012E403JAKKJAKKS Pacific Inc$8.0M1.85%285,778CommonSOLE
863111100STRTStrattec Security$7.8M1.80%190,077CommonSOLE
511795106LAKELakeland Industries$7.3M1.68%286,970CommonSOLE
913290102UNTYUnity Bancorp$7.3M1.68%168,047CommonSOLE
319390100FBIZFirst Business Financial Servi$7.3M1.68%157,761CommonSOLE
04649U102ASURAsure Software$7.3M1.67%773,572CommonSOLE
19623P101CBANColony Bankcorp$6.9M1.58%426,787CommonSOLE
103002101BWMNBowman Consulting Grp$6.9M1.57%274,711CommonSOLE
90355N101USCBUSCB Financial Hlds$6.8M1.56%383,097CommonSOLE
139737100CBNKCapital Bancorp$6.8M1.55%237,247CommonSOLE
440407104HBNCHorizon Bancorp$6.8M1.55%419,059CommonSOLE
83125X103SNBRSleep Number Corp$6.7M1.55%442,412CommonSOLE
700885106PKBKParke Bancorp$6.7M1.55%328,416CommonSOLE
49428J109KEKimball Electronics$6.7M1.54%357,300CommonSOLE
901476101TWINTwin Disc Inc$6.6M1.52%565,277CommonSOLE
75689M101RRGBRed Robin Gourmet Burgers$5.9M1.35%1,069,632CommonSOLE
23331S100DHXDHI Group$5.7M1.32%3,237,947CommonSOLE
40701T104HBBHamilton Beach Brands Hld$5.7M1.30%337,060CommonSOLE
92512J106VBNKVersabank$5.6M1.28%403,463CommonSOLE
33830T103FSBCFive Star Bancorp$5.5M1.27%183,608CommonSOLE
37954A204GMREUSDGlobal Medical REIT$5.5M1.26%712,101CommonSOLE
06654A103BWFGBankwell Financial Group$5.4M1.25%174,584CommonSOLE
533535100LINCLincoln Education Services$5.4M1.24%340,159CommonSOLE
600551204MLRMiller Industries Inc$5.3M1.23%81,797CommonSOLE
29667J101ESQEsquire Financial Hld$5.3M1.21%66,405CommonSOLE
461147100INTTInTest Corp$5.0M1.15%582,483CommonSOLE
02083X103PINEAlpine Income Property Trust$5.0M1.15%297,221CommonSOLE
563420108Manitex International Inc$4.9M1.12%843,302CommonSOLE
21676P103CPSCooper Standard Hlds$4.6M1.06%339,768CommonSOLE
95123P106WTBAWest Bancorporation$4.5M1.04%209,319CommonSOLE
12634H200PMTSCPI Card Group$4.4M1.01%147,238CommonSOLE
003881307ACTGAcacia Research Corp$4.4M1.00%1,004,495CommonSOLE
828359109SAMGSilvercrest Asset Mgmnt Cls A$4.3M0.98%231,303CommonSOLE
00246W103AXTIAXT Inc$4.2M0.96%1,937,424CommonSOLE
23291C103BOOMDMC Global Inc$4.1M0.95%563,443CommonSOLE
76674Q107RMNIRimini Street Inc.$4.1M0.95%1,545,671CommonSOLE
769397100RVSBRiverview Bancorp$3.7M0.86%651,442CommonSOLE
447324104HURCHurco Companies Inc$3.6M0.84%188,958CommonSOLE
032332504ASYSAmtech Systems$3.6M0.82%652,393CommonSOLE
913483103UEICUniversal Electronics Inc$3.5M0.80%318,365CommonSOLE
43689E107HBCPHome Bancorp, Inc$3.4M0.77%72,962CommonSOLE
53222Q103LCUTLifetime Brands Inc$3.3M0.75%554,805CommonSOLE
687380105ORRFOrrstown Financial Services$3.3M0.75%89,310CommonSOLE
178867107CIVBCivista Bancshares$3.2M0.73%150,471CommonSOLE
25065K104DXLGDestination XL Group$3.0M0.70%1,127,770CommonSOLE
913915104UTIUniversal Technical Institute$3.0M0.68%115,238CommonSOLE
60649T107MGMistras Group Inc$2.8M0.65%314,417CommonSOLE
346563109FORRForrester Research$2.8M0.65%181,158CommonSOLE
749360400RCMTRCM Technologies$2.7M0.61%120,386CommonSOLE
05591L107BM Technologies Inc$2.5M0.57%503,711CommonSOLE
36872P103GNSSGenasys$2.4M0.54%909,007CommonSOLE
464287630IWNiShares Russell 2000 Value Ind$2.3M0.53%14,129CommonSOLE
02913V103APEIAmerican Public Education$2.3M0.52%106,008CommonSOLE
693149106PAMTPAMT Corp$2.3M0.52%139,006CommonSOLE
886885102TLYSTilly's Inc Cls A$2.2M0.51%524,726CommonSOLE
05601C105BGSFBGSF Inc$2.2M0.51%424,424CommonSOLE
218683100CMTCore Molding Technologies$2.0M0.46%120,031CommonSOLE
67623C109OPITQOffice Properties Income$1.9M0.43%1,866,238CommonSOLE
205826209CMTLComtech Telecom Corp$1.8M0.42%459,630CommonSOLE
19046P209CCBCoastal Financial$1.8M0.41%20,911CommonSOLE
87165D208SNYRSynergy Inc$1.7M0.40%392,666CommonSOLE
68247W109OSSOne Stop Systems$1.6M0.37%483,499CommonSOLE
629337106NNBRNN Inc$1.5M0.35%465,596CommonSOLE
85256A109STGWStagwell Inc$1.4M0.33%220,096CommonSOLE
309627107FMNBFarmers National Banc Corp$1.4M0.33%99,947CommonSOLE
71363P106PRDOPerdoceo Education Corp.$1.3M0.29%47,875CommonSOLE
23204G100CUBICustomers Bancorp$1.3M0.29%25,880CommonSOLE
82455M109SHIMShimmick$1.3M0.29%486,160CommonSOLE
719405102PLABPhotronics Inc$1.3M0.29%53,419CommonSOLE
422819102HSIHeidrick & Struggles Intl$1.2M0.28%27,762CommonSOLE
59100U108CASHPathward Financial Inc$1.2M0.28%16,317CommonSOLE
05990K106BANCBanc of California Inc$1.2M0.27%77,313CommonSOLE
12326C105BFSTBusiness First Bancshares Inc$1.2M0.27%46,329CommonSOLE
163086101CHEFChefs' Warehouse$1.2M0.27%23,654CommonSOLE
410345102HN9Hanesbrands$1.1M0.26%137,876CommonSOLE
320218100THFFFirst Financial Corp$1.1M0.25%24,007CommonSOLE
421906108HCSGHealthcare Services Group Inc$1.1M0.25%95,235CommonSOLE
20786W107CNOBConnectOne Bancorp$1.1M0.25%47,553CommonSOLE
74727A104QCRHQCR Holdings Inc$1.1M0.25%13,383CommonSOLE
42722X106HFWAHeritage Financial$1.0M0.24%42,306CommonSOLE
929566107WNCWabash National Corp.$1.0M0.23%58,710CommonSOLE
50060P106KOPKoppers Holdings$999,5400.23%30,850CommonSOLE
192576106COHUCohu Inc$993,6940.23%37,217CommonSOLE
762544104RBBNRibbon Communications Inc$987,2720.23%237,325CommonSOLE
00081T108ACCOACCO Brands$973,6700.22%185,461CommonSOLE
250565108DBIDesigner Brands$942,5630.22%176,510CommonSOLE
108621103BWBBridgewater Bancshares$938,7020.22%69,482CommonSOLE
233377407DXPEDXP Enterprises, Inc$933,0280.21%11,293CommonSOLE
20459V105GPGIComposecure$851,9650.20%55,575CommonSOLE
08160H101BHEBenchmark Electronics, Inc$843,5320.19%18,580CommonSOLE
105368203BDNBrandywine Realty Trust$837,8660.19%149,619CommonSOLE
84252A106BCALCalifornia Bancorp$772,7160.18%46,718CommonSOLE
234264109DAKTDaktronics, Inc$759,4420.17%45,044CommonSOLE
294268107PLUSEPlus Inc$739,2430.17%10,006CommonSOLE
G8232Y101Penguin Solutions$735,6870.17%38,337CommonSOLE
25960R105PLOWDouglas Dynamics Inc$723,4320.17%30,615CommonSOLE
199333105CMCOColumbus McKinnon Corp$720,7800.17%19,355CommonSOLE
90385V107UCTTUltra Clean Holdings$720,6540.17%20,046CommonSOLE
64111Q104NTGRNetgear Inc$706,5320.16%25,351CommonSOLE
404609109HCKTHackett Group, Inc$690,5550.16%22,479CommonSOLE
832154405SMSISmith Micro Software$682,5340.16%521,018CommonSOLE
488152208KELYAKelly Services Cls A$681,0390.16%48,855CommonSOLE
G4740B105ICHRIchor Holdings$679,8740.16%21,101CommonSOLE
G38644103GCTGigaCloud Tech Cls A$669,3310.15%36,141CommonSOLE
69318J100CNXNPC Connection$655,0860.15%9,457CommonSOLE
915271100UVSPUnivest Financial Corp$652,0530.15%22,096CommonSOLE
28035Q102EPCEdgewell Personal Care$633,0240.15%18,840CommonSOLE
G4388N106HELEHelen of Troy Corp$612,0610.14%10,230CommonSOLE
293389102EBFEnnis Inc$606,4850.14%28,757CommonSOLE
094235108BLMNBloomin Brands$571,9770.13%46,845CommonSOLE
69354N106PRAAPRA Group$560,0190.13%26,808CommonSOLE
379378201GNLGlobal Net Lease REIT$549,4710.13%75,270CommonSOLE
825698103SPARUSDShyft Group Inc$548,7980.13%46,746CommonSOLE
68243Q106FLWS1-800-Flowers.com Inc$544,6610.13%66,666CommonSOLE
163072101CAKECheesecake Factory$511,0240.12%10,772CommonSOLE
129500104CALCaleres Inc$467,2760.11%20,176CommonSOLE
91388P105ULHUniversal Logistics$455,5870.10%9,917CommonSOLE
74967R106RMRRMR Group Cls A$455,4220.10%22,065CommonSOLE
444144109HDSNHudson Technologies$443,8000.10%79,534CommonSOLE
576853105MTRXMatrix Service Co$429,9620.10%35,920CommonSOLE
76122Q105RGPResources Connection$429,6390.10%50,368CommonSOLE
989817101ZUMZZumiez Inc$409,8740.09%21,381CommonSOLE
651718504NPKINPK International$376,1600.09%49,043CommonSOLE
853666105SMPStandard Motor$339,6030.08%10,962CommonSOLE
292765104EPACEnerpac Tool Group$327,8160.08%7,978CommonSOLE
62945V109NVEEUSDNV5 Global Inc$315,6830.07%16,756CommonSOLE
89785X101TBITrueBlue Inc$306,3560.07%36,471CommonSOLE
703343103PATKPatrick Industries$256,6340.06%3,089CommonSOLE
87200P109System1 Inc$124,5290.03%138,627CommonSOLE

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.