13FBOX
Jackson Creek Investment Advisors LLC · 13F Holdings
Options Calculator Rankings

Jackson Creek Investment Advisors LLC

No.5713 Data as of 2026Q2
Latest AUM (Q2 2026)
$306.8M
QoQ Change Q1 2026
-$32.7M-9.6%
Holdings
312
New Buys
130
Adds
20
Reduces
162
Exits
111
Unchanged
0
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
MMKS INC.MKSI
0.97%0.15%$3.0M6,660$510,0002,221+4,439+199.86%Add
MATERION CORPMTRN
0.76%$2.3M7,877$00+7,877New Buy
AAMKOR TECHNOLOGY INCAMKR
0.75%0.74%$2.3M26,544$2.5M55,544-29,000-52.21%Reduce
VIRTU FINL INCVIRT
0.73%0.65%$2.3M37,804$2.2M50,219-12,415-24.72%Reduce
VVERACYTE INCVCYT
0.7%0.48%$2.1M36,484$1.6M50,314-13,830-27.49%Reduce
NISOURCE INC COMNI
0.69%0.38%$2.1M44,464$1.3M27,677+16,787+60.65%Add
IINDIVIOR PHARMACEUTICALS INCINDV
0.66%0.62%$2.0M49,619$2.1M69,550-19,931-28.66%Reduce
TENABLE HLDGS INCTENB
0.66%$2.0M55,119$00+55,119New Buy
TD SYNNEX CORPORATIONSNX
0.66%0.14%$2.0M7,567$486,0002,878+4,689+162.93%Add
ENOVA INTL INCENVA
0.66%0.46%$2.0M8,373$1.6M11,601-3,228-27.83%Reduce
INTERFACE INCTILE
0.65%0.57%$2.0M55,663$1.9M77,244-21,581-27.94%Reduce
PEDIATRIX MEDICAL GROUP INCMD
0.62%0.66%$1.9M75,639$2.2M104,933-29,294-27.92%Reduce
LIGAND PHARMACEUTICALS INCLGND
0.62%0.49%$1.9M6,037$1.7M8,313-2,276-27.38%Reduce
PITNEY BOWES INCPBI
0.62%0.14%$1.9M108,350$490,00044,373+63,977+144.18%Add
FRANKLIN RESOURCES INCBEN
0.61%0.53%$1.9M56,670$1.8M76,834-20,164-26.24%Reduce
BREAD FINANCIAL HOLDINGS INCBFH
0.61%0.39%$1.9M17,218$1.3M17,910-692-3.86%Reduce
KLA CORPKLAC
0.61%0.39%$1.9M6,162$1.3M889+5,273+593.14%Add
NNWPX INFRASTRUCTURE INC COMNWPX
0.61%0.14%$1.9M12,384$461,0005,923+6,461+109.08%Add
AARGAN INCAGX
0.6%0.91%$1.8M2,311$3.1M5,664-3,353-59.20%Reduce
PROTO LABS INCPRLB
0.6%0.14%$1.8M22,459$478,0008,390+14,069+167.69%Add
MMarex Group LtdMRX
0.6%$1.8M29,992$00+29,992New Buy
NEUROCRINE BIOSCIENCES INCNBIX
0.58%$1.8M10,642$00+10,642New Buy
XENIA HOTELS & RESORTS INCXHR
0.58%$1.8M86,864$00+86,864New Buy
APOGEE ENTERPRISES INCAPOG
0.57%$1.8M38,516$00+38,516New Buy
CCOMPASS MINERALS INTL INCMP
0.57%0.54%$1.8M56,354$1.8M78,550-22,196-28.26%Reduce
TTRAVERE THERAPEUTICS INCTVTX
0.57%$1.7M30,801$00+30,801New Buy
EEZCORP INCEZPW
0.56%0.58%$1.7M49,806$2.0M77,451-27,645-35.69%Reduce
RRALLIANT CORP COMRAL
0.56%$1.7M23,383$00+23,383New Buy
ZURN ELKAY WATER SOLNS CORPZWS
0.56%0.62%$1.7M33,994$2.1M47,127-13,133-27.87%Reduce
BBLUE BIRD CORP COMBLBD
0.56%0.13%$1.7M21,743$455,0008,009+13,734+171.48%Add
AAVEANNA HEALTHCARE HLDGS INCAVAH
0.56%$1.7M200,268$00+200,268New Buy
VESTIS CORPORATIONVSTS
0.55%0.14%$1.7M117,121$476,00060,536+56,585+93.47%Add
IINSIGHT ENTERPRISES INCNSIT
0.55%$1.7M13,955$00+13,955New Buy
CCONSTELLIUM SECSTM
0.55%0.53%$1.7M53,252$1.8M73,664-20,412-27.71%Reduce
CCHEFS WHSE INCCHEF
0.55%0.43%$1.7M17,653$1.5M24,520-6,867-28.01%Reduce
ARROW ELECTRS INCARW
0.55%$1.7M7,909$00+7,909New Buy
FFEDERAL AGRIC MTG CORPAGM
0.55%$1.7M8,427$00+8,427New Buy
PEBBLEBROOK HOTEL TRPEB
0.54%$1.7M85,363$00+85,363New Buy
GGORMAN RUPP CO EQUITY CLASS EQUITYGRC
0.54%$1.7M18,036$00+18,036New Buy
AASTRANA HEALTH INCASTH
0.54%$1.6M35,417$00+35,417New Buy
ASSOCIATED BANC-CORP COMASB
0.54%0.55%$1.6M53,402$1.9M72,111-18,709-25.94%Reduce
CARETRUST REIT INCCTRE
0.54%0.61%$1.6M40,694$2.1M56,400-15,706-27.85%Reduce
RRUSH STREET INTERACTIVE INCRSI
0.53%0.56%$1.6M54,795$1.9M87,851-33,056-37.63%Reduce
DDOUGLAS DYNAMICS INCPLOW
0.53%0.51%$1.6M30,064$1.7M41,403-11,339-27.39%Reduce
CASEYS GEN STORES INCCASY
0.53%0.5%$1.6M2,039$1.7M2,340-301-12.86%Reduce
HELIOS TECHNOLOGIES INCHLIO
0.52%$1.6M18,037$00+18,037New Buy
ORIGIN BANCORP INCOBK
0.52%0.13%$1.6M31,463$438,00010,572+20,891+197.61%Add
CCRESCENT ENERGY COMPANYCRGY
0.52%$1.6M163,573$00+163,573New Buy
AGILYSYS INCAGYS
0.52%$1.6M15,223$00+15,223New Buy
CCLEAR SECURE INCYOU
0.52%0.16%$1.6M28,526$555,00011,469+17,057+148.72%Add

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow