13FBOX
Minerva Advisors LLC · 13F Holdings
Options Calculator Rankings

Minerva Advisors LLC

No.7971 Data as of 2026Q2
Latest AUM (Q2 2026)
$158.3M
QoQ Change Q1 2026
+$3.4M+2.2%
Holdings
46
New Buys
0
Adds
10
Reduces
5
Exits
2
Unchanged
31
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
EASTERN CO COMEML
9.61%7.14%$15.2M546,402$11.1M546,40200.00%Unchanged
TREDEGAR CORPTG
8.38%8.55%$13.3M1.7M$13.2M1.7M00.00%Unchanged
IINFUSYSTEM HLDGS INC COMINFU
8.22%7.17%$13.0M1.3M$11.1M1.2M+144,512+12.00%Add
SSIFCO INDS INCSIF
6.74%4.13%$10.7M455,650$6.4M480,650-25,000-5.20%Reduce
EESCALADE INC COMESCA
6.73%6.29%$10.7M567,222$9.7M567,621-399-0.07%Reduce
VVIRCO MFG CO COMVIRC
5.96%5.99%$9.4M1.5M$9.3M1.5M+18,002+1.19%Add
UTAH MED PRODS INC COMUTMD
4.08%3.75%$6.5M93,615$5.8M93,61500.00%Unchanged
UUNIFI INCUFI
3.78%2.9%$6.0M1.3M$4.5M1.3M+166+0.01%Add
DDLH HLDGS CORP COMDLHC
3.7%4.18%$5.9M1.1M$6.5M1.1M+3,331+0.30%Add
NAVIGATOR HLDGS LTDFNB
3.49%3.7%$5.5M296,212$5.7M296,21200.00%Unchanged
KKEWAUNEE SCIENTIFIC CORPKEQU
3.35%3.02%$5.3M149,410$4.7M136,705+12,705+9.29%Add
SSCRIPPS E W CO OHIO CL A NEWSSP
3.21%3.67%$5.1M1.8M$5.7M1.5M+306,217+20.06%Add
CAMDEN NATL CORPCAC
3.07%2.74%$4.9M89,568$4.3M89,56800.00%Unchanged
AASTRONICS CORPATRO
2.83%3.03%$4.5M55,041$4.7M70,340-15,299-21.75%Reduce
PPATHFINDER BANCORP INC MDPBHC
2.63%2.16%$4.2M262,204$3.3M262,20400.00%Unchanged
FFreightcar America Inc CommonRAIL
2.33%1.75%$3.7M379,030$2.7M341,023+38,007+11.14%Add
KKELLY SVCS INC CL AKELYA
1.96%1.14%$3.1M253,162$1.8M199,796+53,366+26.71%Add
FFOSTER L B CO COMFSTR
1.94%1.51%$3.1M67,922$2.3M83,965-16,043-19.11%Reduce
CCRAWFORD & COCRD/B
1.9%1.89%$3.0M288,178$2.9M288,17800.00%Unchanged
NNI HLDGS INC COMNODK
1.29%1.08%$2.0M129,900$1.7M129,90000.00%Unchanged
CCOLUMBIA FINL INCCLBK
1.2%0.38%$1.9M89,294$591,73333,794+55,500+164.23%Add
MID PENN BANCORP INC COMMPB
1.19%1.12%$1.9M54,177$1.7M54,17700.00%Unchanged
CITIZENS FINL GROUP INCCFG
0.95%0.83%$1.5M21,485$1.3M21,48500.00%Unchanged
EASTERN BANKSHARES INCEBC
0.88%0.79%$1.4M62,576$1.2M62,57600.00%Unchanged
UUNISYS CORP COM NEWUIS
0.8%0.46%$1.3M345,347$714,868345,34700.00%Unchanged
F N B CORPFNB
0.77%0.69%$1.2M64,075$1.1M64,07500.00%Unchanged
FIRST MERCHANTS CORPFRME
0.65%0.59%$1.0M23,662$916,43023,66200.00%Unchanged
EECB BANCORP INC COMECBK
0.63%0.54%$1.0M49,940$835,49649,94000.00%Unchanged
CCITIZENS & NORTHN CORP COMCZNC
0.63%0.62%$999,99942,900$958,38642,90000.00%Unchanged
CCONTANGO SILVER & GOLD INC COMCTGO
0.6%0.72%$941,82659,647$1.1M59,64700.00%Unchanged
CCENTRAL PLAINS BANCSHARES INCPBI
0.59%0.54%$934,69749,117$840,39249,11700.00%Unchanged
NNORWOOD FINL CORPNWFL
0.58%0.54%$918,84728,580$840,82428,58000.00%Unchanged
FFMC CORPFMC
0.57%0.53%$897,00078,000$826,56048,000+30,000+62.50%Add
DONEGAL GROUP INC CL ADGICA
0.55%0.52%$876,80146,490$798,69946,49000.00%Unchanged
MMARATHON BANCORP INCMBBC
0.54%0.52%$851,86055,750$797,94658,976-3,226-5.47%Reduce
LLAKE SHORE BANCORP INCLSBK
0.5%0.43%$788,25344,259$671,85244,25900.00%Unchanged
FIRST BK WILLIAMSTOWN NEW JERS COMFRBA
0.46%0.42%$729,46541,143$658,28841,14300.00%Unchanged
HORIZON BANCORP INDHBNC
0.44%0.37%$700,34435,052$580,81635,05200.00%Unchanged
Northwest Bancshares INC CORP COMMONNWBI
0.36%0.31%$576,08038,000$482,22038,00000.00%Unchanged
TTHRYV HLDGS INC COM NEWTHRY
0.36%0.26%$568,656144,329$395,461144,32900.00%Unchanged
FIRST COMWLTH FINL CORP PAFCF
0.33%0.29%$519,63525,560$449,34525,56000.00%Unchanged
EAGLE BANCORP MONT INC COMEBMT
0.32%0.28%$504,87521,098$434,19721,09800.00%Unchanged
RRICHMOND MUT BANCORPORATION COMRMBI
0.3%0.26%$479,95730,224$410,14030,22400.00%Unchanged
DDONEGAL GROUP INCDGICB
0.25%0.2%$388,90417,856$315,87317,85600.00%Unchanged
DELUXE CORP MEDIUM TERM NTSDLX
0.21%0.25%$331,93213,900$382,80613,90000.00%Unchanged
AAMERISERV FINL INCASRV
0.14%0.14%$225,81658,200$210,68458,20000.00%Unchanged

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow