13FBOX
Pacific Ridge Capital Partners, LLC · 13F Holdings
Options Calculator Rankings

Pacific Ridge Capital Partners, LLC

No.3980 Data as of 2026Q2
Latest AUM (Q2 2026)
$551.0M
QoQ Change Q1 2026
+$89.2M+19.3%
Holdings
134
New Buys
7
Adds
46
Reduces
81
Exits
10
Unchanged
0
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
NORTHEAST BK PORTLAND MENBN
2.87%3.1%$15.8M119,173$14.3M127,534-8,361-6.56%Reduce
RRED ROBIN GOURMET BURGERS INCORPORATEDRRGB
2.58%1.14%$14.2M1.8M$5.3M1.8M-13,817-0.77%Reduce
VVERSABANK NEWVBNK
2.47%1.81%$13.6M585,516$8.4M590,013-4,497-0.76%Reduce
NNATURAL GAS SVCS GROUP INC COMNGS
2.37%2.5%$13.1M303,023$11.5M305,374-2,351-0.77%Reduce
HHERITAGE INSURANCE HLDGS INCHRTG
2.37%2.31%$13.1M500,463$10.7M405,860+94,603+23.31%Add
TWIN DISC INC COMTWIN
2.22%1.73%$12.2M526,488$8.0M530,566-4,078-0.77%Reduce
DDHI GROUP INCDHX
2.17%2.21%$12.0M3.2M$10.2M3.6M-400,426-11.03%Reduce
MMOTORCAR PTS AMER INC COMMPAA
2.13%1.85%$11.7M766,467$8.5M772,421-5,954-0.77%Reduce
AALICO INC COMALCO
2.13%2.55%$11.7M283,139$11.8M285,332-2,193-0.77%Reduce
KIMBALL ELECTRONICS INC COMKE
2.04%1.65%$11.2M439,224$7.6M322,497+116,727+36.19%Add
AMERICAN INTEGRITY INS GROUP I COMAFGD
1.98%1.63%$10.9M579,444$7.5M389,420+190,024+48.80%Add
CCPI CARD GROUP INC COM NEWPMTS
1.91%1.46%$10.5M507,681$6.8M466,035+41,646+8.94%Add
LAKELAND INDS INC COMLAKE
1.89%1.65%$10.4M975,881$7.6M928,981+46,900+5.05%Add
JAKKS PAC INC COM NEWJAKK
1.83%1.88%$10.1M433,495$8.7M436,939-3,444-0.79%Reduce
CAPITAL BANCORP INC MD COMCBNK
1.83%1.49%$10.1M286,371$6.9M231,286+55,085+23.82%Add
BBANKWELL FINL GROUP INC COMBWFG
1.78%1.76%$9.8M166,709$8.2M168,000-1,291-0.77%Reduce
AVIAT NETWORKS INC COM NEWAVNW
1.78%1.88%$9.8M441,141$8.7M383,241+57,900+15.11%Add
PARKE BANCORP INC COMPKBK
1.75%1.8%$9.7M291,183$8.3M293,439-2,256-0.77%Reduce
RREPAY HLDGS CORP COM CL ARPAY
1.71%0.8%$9.4M2.2M$3.7M1.4M+827,361+58.54%Add
KKELLY SVCS INC CL AKELYA
1.7%1.05%$9.4M763,886$4.8M547,245+216,641+39.59%Add
UNITY BANCORP INC COMUNTY
1.68%1.78%$9.3M157,618$8.2M158,849-1,231-0.77%Reduce
FS BANCORP INC COMFSBW
1.63%1.74%$9.0M206,499$8.0M208,094-1,595-0.77%Reduce
FIRST BUSINESS FINL SVCS INC W COMFBIZ
1.6%1.65%$8.8M139,808$7.6M140,892-1,084-0.77%Reduce
BBUILD-A-BEAR WORKSHOP INC COMBBW
1.58%1.75%$8.7M284,811$8.1M215,975+68,836+31.87%Add
RRIMINI STR INC DEL COMRMNI
1.58%1.36%$8.7M2.0M$6.3M1.9M+130,904+6.84%Add
RRCM TECHNOLOGIES INC COM NEWRCMT
1.56%1.18%$8.6M305,070$5.5M285,609+19,461+6.81%Add
HORIZON BANCORP INDHBNC
1.54%1.54%$8.5M425,352$7.1M428,647-3,295-0.77%Reduce
FIVE STAR BANCORPFSBC
1.53%1.44%$8.4M172,850$6.7M176,751-3,901-2.21%Reduce
BBOWMAN CONSULTING GROUP LTD COMBWMN
1.47%1.51%$8.1M276,963$7.0M245,552+31,411+12.79%Add
HHAMILTON BEACH BRANDS HLDG CO COM CL AHBB
1.43%1.41%$7.9M341,468$6.5M344,109-2,641-0.77%Reduce
AAMERICAN PUB ED INCAPEI
1.41%2.06%$7.8M144,579$9.5M167,651-23,072-13.76%Reduce
CCOMMERCIAL BANCGROUP INC COMCBK
1.31%1.27%$7.2M223,763$5.9M225,506-1,743-0.77%Reduce
USCB FINANCIAL HOLDINGS INC CLASS A COMUSCB
1.26%1.37%$7.0M339,688$6.3M342,320-2,632-0.77%Reduce
MILLER INDS INC TENN COM NEWMLR
1.26%1.35%$6.9M135,738$6.2M136,819-1,081-0.79%Reduce
METROPOLITAN BK HLDG CORPMCB
1.21%2.47%$6.7M67,775$11.4M136,780-69,005-50.45%Reduce
JJ JILL INC COMJILL
1.2%0.89%$6.6M417,667$4.1M357,366+60,301+16.87%Add
HACKETT GROUP INC COMHCKT
1.19%0.19%$6.6M608,663$878,72167,542+541,121+801.16%Add
COLONY BANKCORP INC COMCBAN
1.16%1.39%$6.4M319,367$6.4M321,848-2,481-0.77%Reduce
ORRSTOWN FINL SVCS INCORRF
1.08%1.15%$6.0M146,302$5.3M147,434-1,132-0.77%Reduce
FFORRESTER RESH INC COMFORR
1.08%0.87%$5.9M705,344$4.0M710,847-5,503-0.77%Reduce
ASURE SOFTWARE INCASUR
1%1.31%$5.5M696,002$6.0M701,778-5,776-0.82%Reduce
ALPINE INCOME PPTY TR INC COMPINE
1%1.04%$5.5M264,271$4.8M266,320-2,049-0.77%Reduce
SSHOE STA GROUP INC COMSHOE
0.99%1.04%$5.5M368,360$4.8M309,480+58,880+19.03%Add
MISTRAS GROUP INC COMMG
0.9%0.91%$4.9M282,880$4.2M285,274-2,394-0.84%Reduce
CCHIRON REAL ESTATE INC COM NEWXRN
0.89%0.94%$4.9M130,529$4.4M131,610-1,081-0.82%Reduce
IINTEST CORP COMINTT
0.82%1.48%$4.5M248,275$6.9M502,299-254,024-50.57%Reduce
DDMC GLOBAL INC COMBOOM
0.8%0.91%$4.4M758,983$4.2M804,618-45,635-5.67%Reduce
LLIFETIME BRANDS INC COMLCUT
0.76%0.62%$4.2M491,911$2.8M495,737-3,826-0.77%Reduce
SSUNRISE RLTY TR INC COMSUNS
0.76%0.67%$4.2M529,714$3.1M403,035+126,679+31.43%Add
RRIVERVIEW BANCORP INC COMRVSB
0.74%0.9%$4.1M749,544$4.2M755,355-5,811-0.77%Reduce

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow