MondegarAI
Bridge City Capital, LLC

Q1 2025 · 13F-HR

Bridge City Capital, LLCholdings as filed

Filed 2025-04-14 · accession 0001713521-25-000002

$333.4M
Reported value
105
Positions
2025-03-31
Period end
View analyzed profile →PRO

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
29358P101ENSGEnsign Group Inc.$10.0M3.00%77,210CommonNONE
379577208GMEDGlobus Medical, Inc.$8.5M2.56%116,729CommonNONE
671044105OSISOSI Systems, Inc.$8.4M2.53%43,463CommonNONE
75524B104RBCRBC Bearings Incorporated$7.7M2.30%23,857CommonNONE
859241101STRLSterling Construction Co$7.5M2.25%66,244CommonNONE
37637Q105GBCIGlacier Bancorp Inc.$7.1M2.14%161,558CommonNONE
002121101ATENA10 Networks Inc.$6.9M2.07%422,803CommonNONE
71377A103PFGCPerformance Food Group$6.8M2.03%86,045CommonNONE
124805102CBZCBIZ Inc$6.4M1.92%84,591CommonNONE
525558201LMATLemaitre Vascular Inc.$6.2M1.87%74,373CommonNONE
536797103LADLithia Motors, Inc.$6.2M1.87%21,202CommonNONE
90278Q108UFPIUFP Industries Inc.$6.0M1.80%56,123CommonNONE
258278100DORMDorman Products Inc.$5.9M1.78%49,311CommonNONE
302081104EXLSExlservice Holdings Inc.$5.8M1.74%122,969CommonNONE
012348108AINAlbany International Corp$5.7M1.71%82,734CommonNONE
056525108BMIBadger Meter Inc.$5.4M1.61%28,202CommonNONE
413197104HRMYHarmony Biosciences Holdings$5.3M1.60%160,739CommonNONE
55405Y100MTSIMACOM Tech Solutions$5.1M1.52%50,388CommonNONE
902673102UFPTUFP Technologies Inc.$5.0M1.51%24,889CommonNONE
218352102CORTCorcept Therapeutics Inc$4.8M1.44%42,029CommonSOLE
04041L106ARISUSDAris Water Solutions$4.8M1.43%149,326CommonSOLE
G3323L100FNFabrinet$4.8M1.43%24,071CommonNONE
254543101DIODDiodes Inc.$4.7M1.42%109,946CommonNONE
576323109MTZMasTec, Inc.$4.5M1.36%38,792CommonSOLE
607828100MODModine Manufacturing Co.$4.5M1.34%58,261CommonNONE
30214U102EXPOExponent Inc$4.3M1.30%53,545CommonNONE
695127100PCRXPacira Biosciences$4.3M1.28%172,146CommonSOLE
681116109OLLIOllie's Bargain Outlet Holding$4.3M1.28%36,695CommonSOLE
156504300CCSCentury Communities, Inc.$4.1M1.24%61,407CommonNONE
81617J301WTTRSelect Energy Services, Inc.$4.0M1.20%382,202CommonSOLE
515098101LSTRLandstar System, Inc.$3.8M1.15%25,603CommonSOLE
505336107LZBLa-Z-Boy Incorporated$3.8M1.13%96,705CommonSOLE
127203107WHDCactus, Inc$3.7M1.12%81,702CommonSOLE
640491106NEOGNeogen Corporation$3.7M1.12%430,758CommonNONE
32020R109FFINFirst Financial Bankshares, In$3.7M1.10%102,463CommonSOLE
90337L108USPHUS Physical Therapy Inc.$3.7M1.10%50,750CommonSOLE
457651107INVXInnovex International, Inc.$3.6M1.07%199,235CommonSOLE
006739106ADUSAddus HomeCare Corp$3.6M1.07%36,110CommonSOLE
068463108BBSIBarrett Business Services Inc$3.4M1.01%82,227CommonSOLE
03209R103AMPHAmphastar Pharma Inc.$3.4M1.01%115,855CommonSOLE
501242101KLICKulicke Soffa$3.3M0.99%99,666CommonSOLE
45774W108IIINInsteel Industries, Inc.$3.3M0.98%124,797CommonSOLE
023436108AMEDAmedisys Inc.$3.2M0.97%34,947CommonSOLE
82982L103SITESiteOne Landscape Supply, Inc$3.2M0.97%26,589CommonSOLE
004498101ACIWACI Worldwide Inc.$3.2M0.96%58,671CommonSOLE
46266A109IRMDiRadimed Corporation$3.2M0.96%61,156CommonSOLE
868459108SUPNSupernus Pharmaceuticals Inc.$3.1M0.93%94,180CommonSOLE
950810101WSBCWesbanco Inc.$3.1M0.92%98,979CommonSOLE
353514102FELEFranklin Electric Co.$3.0M0.90%32,096CommonSOLE
466032109JJSFJ&J Snack Foods Corp.$3.0M0.90%22,853CommonSOLE
294268107PLUSePlus Inc.$2.9M0.86%47,182CommonSOLE
14888U101CPRXCatalyst Pharmaceuticals$2.8M0.85%117,374CommonSOLE
78463M107SPSCSPS Commerce$2.8M0.83%20,832CommonSOLE
630402105NSSCNapco Security Technologies$2.8M0.83%119,893CommonSOLE
02553E106AEOAmerican Eagle Outfitters$2.8M0.83%237,415CommonSOLE
37253A103THRMGentherm Inc.$2.7M0.82%102,173CommonSOLE
74758T303QLYSQualys Inc.$2.7M0.80%21,221CommonSOLE
207410101CNMDConmed Corp$2.6M0.79%43,642CommonSOLE
374297109GTYGetty Realty Corp$2.6M0.79%84,409CommonSOLE
29977A105EVREvercore Inc.$2.6M0.78%12,949CommonSOLE
30040P103EVTCEVERTEC, Inc$2.5M0.76%68,485CommonSOLE
819047101SHAKShake Shack Inc.$2.4M0.72%27,291CommonSOLE
929236107WDFCWD-40 CO COM$2.3M0.70%9,611CommonSOLE
729132100PLXSPlexus Corp.$2.3M0.70%18,282CommonSOLE
629445206NVECNVE Corporation$2.3M0.70%36,553CommonSOLE
130788102CWTCalifornia Water Service Group$2.2M0.67%46,298CommonSOLE
92835K103VPGVishay Precision Group$2.2M0.66%91,941CommonSOLE
511656100LKFNLakeland Financial Corporation$2.2M0.66%36,777CommonSOLE
58502B106MDMEDNAX, Inc.$2.2M0.65%150,655CommonSOLE
09739D100BCCBoise Cascade Company$2.1M0.63%21,359CommonSOLE
25787G100DFINDonnely Financial$2.1M0.62%47,523CommonSOLE
43940T109HOPEHope Bancorp, Inc.$2.1M0.62%196,653CommonSOLE
747316107KWRQuaker Chemical Corporation$2.0M0.59%16,013CommonSOLE
98585X104YETIYETI Holdings$1.9M0.58%58,887CommonSOLE
577933104MMSMaxiums Inc.$1.9M0.58%28,293CommonSOLE
48123V102ZDZiff Davis, Inc.$1.9M0.58%51,182CommonSOLE
42222N103HSTMHealthStream Inc.$1.9M0.56%58,536CommonSOLE
719405102PLABPhotronics$1.9M0.56%89,233CommonSOLE
90385V107UCTTUltra Clean Holdings$1.8M0.53%83,273CommonSOLE
421906108HCSGHealthcare Services Group, Inc$1.7M0.52%171,424CommonSOLE
20848V105CCSIConsensus Cloud Solutions Inc.$1.7M0.50%72,664CommonSOLE
199333105CMCOColumbus McKinnon Corp$1.6M0.49%97,082CommonSOLE
502175102LTCLTC Properties, Inc.$1.6M0.47%44,237CommonSOLE
749660106RESRPC Inc.$1.5M0.46%281,538CommonSOLE
882681109TXRHTexas Roadhouse Inc.$1.5M0.46%9,256CommonSOLE
693282105PDFSPDF Solutions Inc$1.5M0.46%79,895CommonSOLE
87157D109SYNASynaptics Incorporated$1.4M0.43%22,317CommonSOLE
68213N109OMCLOmnicell, Inc.$1.4M0.42%40,136CommonSOLE
775133101ROGRogers Corporation$1.4M0.41%20,208CommonSOLE
466367109JACKJack in the Box Inc.$1.4M0.41%49,770CommonSOLE
683344105ONTOOnto Innovation Inc.$981,5190.29%8,089CommonSOLE
12618T105CRAICRA International, Inc$729,5180.22%4,212CommonSOLE
55405W104MYRGMYR Group$546,4510.16%4,832CommonSOLE
461804106ITICInvestors Title Co.$507,7140.15%2,106CommonSOLE
70014A104PKEPark Aerospace Corporation$464,9930.14%34,572CommonSOLE
06654A103BWFGBankwell Financial Group, Inc$396,4140.12%13,135CommonSOLE
47973J102JYNTThe Joint Corp$332,7460.10%26,641CommonSOLE
461147100INTTinTEST Corporation$308,5600.09%44,143CommonSOLE
917488108UTMDUtah Medical Products Inc.$286,4200.09%5,111CommonSOLE
063425102BMRCBank of Marin Bancorp$284,4160.09%12,887CommonSOLE
68287N100OSPNOnespan Inc.$272,5940.08%17,875CommonSOLE
004397105ARAYAccuray Inc.$244,4230.07%136,549CommonSOLE
70451A104PAYSPaysign$228,8050.07%107,927CommonSOLE
05601C105BGSFBGSF, Inc$191,5480.06%52,051CommonSOLE
74880P104QIPTQuipt Home Medical Corp$124,7230.04%53,529CommonSOLE

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.