CSCQX
Columbia Small Cap Value Discovery Fund
COLUMBIA FUNDS SERIES TRUST I

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ESSENT GROUP LTD 0 337,490 337,490 1.04% $21.23M
CUSHMAN and WAKEFIELD LTD 0 1,271,107 1,271,107 1.03% $20.90M
KITE REALTY GROUP TRUST 0 823,900 823,900 0.95% $19.35M
SCORPIO TANKERS INC 0 283,690 283,690 0.89% $18.05M
GATES INDUSTRIAL CORP PLC 0 782,660 782,660 0.89% $18.02M
TOREX GOLD RESOU 0 322,562 322,562 0.76% $15.53M
KINETIK HOLDINGS INC 0 343,026 343,026 0.69% $14.03M
ALASKA AIR GROUP INC 0 258,300 258,300 0.65% $13.13M
EURONET WORLDWIDE INC 0 179,396 179,396 0.64% $13.00M
CENTERRA GOLD IN 0 766,210 766,210 0.63% $12.84M
DOUGLAS EMMETT INC REIT 0 1,133,680 1,133,680 0.59% $11.97M
Dole Public Limited Company 0 709,551 709,551 0.56% $11.30M
Banco Latinoamericano de Comercio Exterior SA, Class E 0 216,568 216,568 0.52% $10.50M
SAFEHOLD INC 0 714,860 714,860 0.50% $10.09M
COSTAMARE INC 0 581,470 581,470 0.48% $9.76M
Pagseguro Digital Ltd., Class A 0 838,800 838,800 0.46% $9.44M
VIZSLA SILVER CO 0 1,735,237 1,735,237 0.43% $8.78M
HELEN OF TROY LTD 0 494,881 494,881 0.40% $8.20M
CERTARA INC 0 854,780 854,780 0.37% $7.51M
IBEX LTD 0 200,882 200,882 0.37% $7.47M
GROCERY OUTLET HOLDING CORP 0 763,150 763,150 0.36% $7.27M
FERROGLOBE PLC 0 1,376,135 1,376,135 0.32% $6.54M
GREENLIGHT CAPITAL RE LTD A 0 467,443 467,443 0.32% $6.48M
ALIGHT INC-CL A 0 4,113,011 4,113,011 0.31% $6.29M
STEPAN CO 0 107,144 107,144 0.30% $6.17M
ICHOR HOLDINGS LTD 0 196,730 196,730 0.29% $5.97M
PASON SYSTEMS INC COMMON STOCK 0 624,910 624,910 0.27% $5.54M
FOX FACTORY HOLDING CORP 0 287,670 287,670 0.26% $5.29M
Ardmore Shipping Services (Ireland) Limited 0 405,270 405,270 0.26% $5.24M
SAFE BULKERS INC 0 913,397 913,397 0.26% $5.22M
SHORE BANCSHARES INC 0 264,470 264,470 0.25% $5.02M
COGNYTE SOFTWARE LTD 0 543,972 543,972 0.24% $4.91M
FIRST FOUNDATION INC/OLD 0 781,391 781,391 0.24% $4.91M
ETHAN ALLEN INTERIORS INC 0 211,633 211,633 0.24% $4.85M
OXFORD INDUSTRIES 0 115,550 115,550 0.21% $4.26M
FIRSTSUN CAPITAL BANCORP 0 98,995 98,995 0.19% $3.91M
FUBOTV INC CLASS A 0 1,745,422 1,745,422 0.19% $3.89M
ASPEN AEROGELS INC 0 998,570 998,570 0.17% $3.37M
ONEWATER MARINE CL A 0 249,760 249,760 0.16% $3.32M
COMMERCE.COM INC 0 991,823 991,823 0.15% $3.09M
Valens Semiconductor Ltd 0 1,074,350 1,074,350 0.09% $1.83M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ESSENT GROUP LTD 327,790 0 -327,790 0.00% -$19.85M
CUSHMAN & WAKEFI 1,151,607 0 -1,151,607 0.00% -$18.08M
TELEPHONE & DATA 439,124 0 -439,124 0.00% -$17.05M
SCORPIO TANKERS INC SHS 275,290 0 -275,290 0.00% -$16.99M
GATES INDUSTRIAL 684,130 0 -684,130 0.00% -$15.11M
Capstone Copper Corp 1,691,461 0 -1,691,461 0.00% -$15.10M
TOREX GOLD RESOURCES INC 353,172 0 -353,172 0.00% -$14.59M
COLUMBIA BANKING SYSTEMS INC 520,040 0 -520,040 0.00% -$13.94M
TEEKAY TANKERS LTD COMMON STOCK USD.01 212,940 0 -212,940 0.00% -$12.99M
STEVEN MADDEN LTD 372,660 0 -372,660 0.00% -$12.64M
ASTRONICS CORP 248,710 0 -248,710 0.00% -$12.23M
PERRIGO CO PLC 543,859 0 -543,859 0.00% -$11.28M
COTY INC-CL A 2,715,172 0 -2,715,172 0.00% -$10.78M
Centerra Gold, Inc. 883,540 0 -883,540 0.00% -$10.35M
ERO COPPER CORP 462,744 0 -462,744 0.00% -$9.88M
APPLIED OPTOELECTRONICS INC 276,750 0 -276,750 0.00% -$9.84M
Banco Latinoamericano de Exportaciones S.A. (Class E) 210,168 0 -210,168 0.00% -$9.04M
UGI CORP NEW 264,650 0 -264,650 0.00% -$8.85M
Dole PLC ORD SHS 689,051 0 -689,051 0.00% -$8.78M
Pagseguro Digital Ltd COM USD0.000025 CLASS A 814,700 0 -814,700 0.00% -$7.81M
Ibex Ltd. SHS NEW 195,082 0 -195,082 0.00% -$7.29M
Vizsla Silver Corp. 1,747,477 0 -1,747,477 0.00% -$7.15M
TREEHOUSE FOODS INC 392,310 0 -392,310 0.00% -$7.14M
Costamare Inc. COM USD0.0001 564,570 0 -564,570 0.00% -$6.90M
HELEN OF TROY 357,141 0 -357,141 0.00% -$6.65M
Ferroglobe PLC COM USD0.01 1,336,235 0 -1,336,235 0.00% -$6.48M
EDGEWELL PERSONAL CARE CO 327,660 0 -327,660 0.00% -$6.35M
PROG HOLDINGS INC 207,283 0 -207,283 0.00% -$6.00M
SUN COUNTRY HOLD 463,876 0 -463,876 0.00% -$5.70M
OLEMA PHARMACEUTICALS INC 633,768 0 -633,768 0.00% -$5.68M
GREENLIGHT CAP-A 454,143 0 -454,143 0.00% -$5.50M
Pason Systems Inc 639,530 0 -639,530 0.00% -$5.45M
MECHANICS BANCORP 406,238 0 -406,238 0.00% -$5.44M
CABLE ONE INC 34,011 0 -34,011 0.00% -$5.05M
Ardmore Shipping Corporation 393,470 0 -393,470 0.00% -$4.95M
ICHOR HOLDINGS L 196,910 0 -196,910 0.00% -$4.47M
COGNYTE SOFTWARE LTD 0.00000000 528,272 0 -528,272 0.00% -$4.41M
CASTLE BIOSCIENCES INC 168,647 0 -168,647 0.00% -$4.30M
PHATHOM PHARMACEUTICALS INC 314,231 0 -314,231 0.00% -$4.26M
SAFE BULKERS INC COMMON STOCK USD.001 886,997 0 -886,997 0.00% -$4.16M
POWERFLEET INC 791,944 0 -791,944 0.00% -$4.04M
UNIVERSAL HEALTH REALTY TRUST 104,744 0 -104,744 0.00% -$4.00M
MARAVAI LIFESCIENCES HOLDINGS INC 1,153,383 0 -1,153,383 0.00% -$3.62M
JACK IN THE BOX INC 168,970 0 -168,970 0.00% -$2.71M
VALENS SEMICON. LTD 1,043,250 0 -1,043,250 0.00% -$1.91M
HAIN CELESTIAL GROUP INC 1,425,239 0 -1,425,239 0.00% -$1.65M
AMERANT BANCORP INC 8,549 0 -8,549 0.00% -$143.37K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
JOHN BEAN TECHNOLOGIES CORP 161,740 166,440 4,700 1.29% $5.79M
NATL FUEL GAS CO 100,460 308,620 208,160 1.27% $17.92M
MOOG INC-CLASS A 82,132 84,632 2,500 1.27% $9.02M
UFP INDUSTRIES INC 193,945 234,475 40,530 1.19% $6.35M
MERITAGE HOMES CORP 172,400 338,270 165,870 1.16% $11.87M
KIRBY CORP 173,651 178,851 5,200 1.04% $3.07M
LITTELFUSE INC 62,130 64,130 2,000 1.02% $5.65M
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 358,990 369,590 10,600 1.00% $4.17M
BANKUNITED INC 396,126 407,926 11,800 0.95% $3.49M
VISHAY INTERTECHNOLOGY INC 816,490 910,190 93,700 0.90% $4.48M
BANC OF CALIFORNIA INC 850,540 883,510 32,970 0.87% $3.22M
VONTIER CORP W/I 451,370 464,670 13,300 0.86% $47.38K
F&G ANNUITIES 478,750 573,910 95,160 0.83% $2.73M
Americold Realty Trust Inc 1,323,544 1,362,944 39,400 0.83% -$146.35K
ADVANCE AUTO PARTS INC 157,099 345,909 188,810 0.82% $9.20M
CORPORATE OFFICE PROPERTIES TR 523,030 538,530 15,500 0.82% $1.86M
POLARIS INC 241,228 248,428 7,200 0.78% -$85.53K
KORN FERRY 220,725 227,425 6,700 0.78% $1.52M
ANDERSONS INC 243,426 250,726 7,300 0.76% $4.27M
ARCBEST CORP 164,220 168,920 4,700 0.75% $3.04M
NEWMARK GROUP INC CL A 827,542 852,242 24,700 0.75% $440.40K
WASHINGTON FEDERAL INC 445,699 458,899 13,200 0.74% $2.03M
NATIONAL VISION HOLDINGS INC 544,332 560,432 16,100 0.73% $750.83K
HIGHWOODS PROPERTIES INC 444,160 561,550 117,390 0.71% $1.80M
MINERALS TECHNOLOGIES INC 213,340 219,740 6,400 0.71% $2.34M
ASGN INC 268,129 276,129 8,000 0.71% $2.38M
VISTEON CORP 137,562 157,532 19,970 0.70% -$427.79K
WERNER ENTERPRISES INC 405,020 417,120 12,100 0.70% $3.67M
TELEFLEX INC 132,740 136,640 3,900 0.70% -$2.26M
PENNYMAC FINANCIAL SERVICES INC 135,570 139,570 4,000 0.69% -$3.11M
STONEX GROUP INC 119,657 123,257 3,600 0.68% $2.84M
WESTERN UNION CO 1,419,590 1,461,790 42,200 0.67% $452.20K
HILLTOP HOLDINGS 353,958 364,458 10,500 0.67% $2.22M
ARMOUR RESIDENTIAL REIT INC 748,290 770,590 22,300 0.66% $1.27M
RLJ LODGING TRUST 1,231,720 1,788,290 556,570 0.65% $4.91M
KILROY REALTY CORP 240,970 383,980 143,010 0.65% $3.06M
CENTURY COMMUNITIES INC 100,760 205,929 105,169 0.64% $6.98M
HNI CORP 223,532 270,522 46,990 0.64% $3.78M
POTLATCHDELTIC CORP REIT 300,599 309,499 8,900 0.64% $891.43K
GREIF INC-CL A 176,917 182,217 5,300 0.63% $2.80M
GREENBRIER COS 156,056 252,276 96,220 0.63% $6.20M
BRUKER CORP 266,980 274,980 8,000 0.60% $1.78M
PAYONEER GLOBAL INC 1,750,648 1,854,048 103,400 0.58% $1.71M
TOWNE BANK 326,402 336,102 9,700 0.58% $1.15M
AZENTA INC 288,620 297,320 8,700 0.57% $2.84M
THERMON GROUP HOLDINGS INC 246,546 253,846 7,300 0.57% $4.40M
DELEK US HOLDINGS INC 372,100 383,300 11,200 0.56% -$2.74M
DYNEX CAPITAL 780,590 803,690 23,100 0.55% $820.21K
EMPIRE STATE REALTY TRUST INC CL A 1,284,780 1,681,490 396,710 0.55% $1.65M
HORACE MANN EDUCATORS CORP 239,841 246,941 7,100 0.54% $342.14K
TWO HBRS INVT CORP 824,736 955,996 131,260 0.54% $2.95M
PARK H&R INC 956,880 985,380 28,500 0.53% $923.91K
SHOALS TECHNOLOGIES GROUP INC 1,106,230 1,139,230 33,000 0.53% -$872.15K
AMERICAN ASSETS TRUST INC 490,750 593,800 103,050 0.53% $1.35M
EVERTEC INC 305,924 354,594 48,670 0.52% $1.93M
ROGERS CORP 104,620 107,720 3,100 0.52% $1.32M
RAYONIER INC REIT 305,473 453,307 147,834 0.51% $3.57M
GOLD.COM INC 191,810 197,610 5,800 0.50% $5.15M
iShares Trust RUSSELL 2000 VALUE ETF 51,580 52,425 845 0.50% $1.03M
ECOVYST INC 916,030 943,330 27,300 0.49% $2.51M
HEALTHCARE SERVS 512,506 527,806 15,300 0.49% $774.83K
CHEMOURS CO/ THE 552,960 661,382 108,422 0.49% $2.51M
FLYWIRE CORP-VOT 748,730 771,030 22,300 0.48% -$258.11K
WINNEBAGO INDUSTRIES INC 200,840 206,640 5,800 0.47% $1.91M
APELLIS PHARMACEUTICALS INC 406,700 418,800 12,100 0.47% $724.66K
FULGENT GENETICS INC 348,779 359,279 10,500 0.46% $1.58M
BRANDYWINE RLTY 1,969,339 3,281,339 1,312,000 0.46% $2.53M
SIMPLY GOOD FOODS CO 473,060 487,260 14,200 0.45% -$111.91K
CARTERS INC 254,720 262,320 7,600 0.45% $1.08M
PIEDMONT REALTY TRUST INC 1,046,391 1,077,591 31,200 0.45% $639.40K
MOVADO GROUP INC 383,572 394,872 11,300 0.44% $2.02M
MGP INGREDIENTS INC 243,277 358,147 114,870 0.44% $3.03M
YETI HOLDINGS INC 186,836 192,536 5,700 0.43% $2.45M
ANNEXON INC 1,364,315 1,404,915 40,600 0.43% $4.46M
GENTHERM INC 263,088 270,788 7,700 0.43% -$1.03M
FORESTAR GROUP INC 322,856 332,456 9,600 0.43% $253.02K
ATLAS ENERGY SOLUTIONS INC 719,150 740,550 21,400 0.43% -$260.86K
TIMKENSTEEL CORP 413,128 425,428 12,300 0.42% $1.22M
BOSTON BEER COMPANY CL A 38,616 39,716 1,100 0.42% $491.01K
DOUBLEVERIFY HOLDINGS INC 748,900 771,200 22,300 0.41% -$178.10K
NEPTUNE INSURANCE HOLDINGS INC 163,821 326,807 162,986 0.41% $4.13M
WEBTOON ENTERTAINMENT INC 668,273 688,173 19,900 0.41% -$3.39M
SAVERS VALUE VILLAGE INC 743,690 765,690 22,000 0.39% $1.08M
MARTEN TRANSPORT LTD 592,470 610,170 17,700 0.37% $1.43M
MALIBU BOATS INC CL A 221,385 228,085 6,700 0.36% $1.24M
CRITEO SA-SPON ADR DEPOSITARY RECEIPT 373,360 384,560 11,200 0.36% -$1.17M
CAVCO INDUSTRIES INC 14,847 14,947 100 0.36% -$511.72K
RYERSON HOLDING CORP 101,174 253,227 152,053 0.35% $4.91M
ASTRANA HEALTH INC 223,040 310,560 87,520 0.35% $101.06K
Global Indemnity Group LLC 236,244 243,244 7,000 0.35% $126.94K
SANFILIPPO (JOHN B) and SON INC. 84,150 86,650 2,500 0.34% $1.73M
CNB FINL CORP/PA 240,061 247,161 7,100 0.34% $940.86K
KINDERCARE LEARNING COS INC 699,028 1,460,796 761,768 0.34% $2.70M
ALERUS FINANCIAL CORP 267,626 275,626 8,000 0.33% $1.13M
BANK OF MARIN BA 243,667 250,967 7,300 0.33% $464.04K
ENHABIT INC 607,493 625,693 18,200 0.33% $1.71M
ANI PHARMACEUTICALS INC 78,584 80,884 2,300 0.33% -$499.36K
RADIANT LOGISTICS INC 943,554 971,654 28,100 0.32% $830.73K
GREEN PLAINS INC 546,790 562,890 16,100 0.32% $829.72K
ARMADA HOFFLER PROPERTIES INC 666,790 918,950 252,160 0.32% $2.04M
RGC RESOURCES INC 284,537 292,937 8,400 0.31% $466.90K
COMPASS MINERALS INTL INC 246,040 253,340 7,300 0.31% $2.06M
ARDENT HEALTH PA 747,617 769,917 22,300 0.31% -$4.60M
LEGACY HOUSING CORP 293,186 301,886 8,700 0.31% -$319.36K
HAMILTON BEACH BRANDS HOLDING CO CLASS A 318,531 328,031 9,500 0.31% $1.78M
NANO DIMENSION LTD 3,394,689 3,495,689 101,000 0.31% $349.51K
ORCHID ISLAND CAPITAL INC 774,090 797,090 23,000 0.31% $620.63K
WABASH NATIONAL CORP 589,390 606,790 17,400 0.30% $1.42M
COMMUNITY HEALTHCARE TR INC 297,470 355,320 57,850 0.30% $1.78M
CENTRAL PACIFIC FINANCIAL CORP 178,254 183,654 5,400 0.29% $899.59K
DESIGNER BRANDS INC 915,524 942,724 27,200 0.29% $2.60M
TELADOC HEALTH INC 1,048,110 1,079,410 31,300 0.29% -$3.16M
HEARTLAND EXPRESS INC 554,066 570,666 16,600 0.28% $1.44M
COLUMBIA SHORT TERM CASH FUND 2,315,183 5,625,752 3,310,570 0.28% $3.31M
METHODE ELECTRONICS INC 507,219 688,744 181,525 0.27% $2.09M
CHATHAM LODGING TRUST 653,760 771,600 117,840 0.27% $1.30M
INFINITY NATURAL RESOURCES INC 330,530 340,430 9,900 0.27% $1.61M
ACADIA HEALTHCARE CO INC 385,340 396,740 11,400 0.26% -$2.95M
TAYLOR DEVICES INC 71,170 73,270 2,100 0.26% $2.07M
TWIN DISC INC 295,660 304,360 8,700 0.26% $601.91K
MAYVILLE ENGINEERING CO INC 243,930 251,230 7,300 0.24% $577.28K
BLUELINX HOLDINGS INC 68,627 70,627 2,000 0.24% $421.86K
ENERGY RECOVERY INC 326,146 335,846 9,700 0.24% -$680.36K
PEAKSTONE REALTY 304,018 312,918 8,900 0.24% $780.50K
MITEK SYSTEMS INC 473,530 487,730 14,200 0.24% $525.84K
MVB FINANCIAL CORP 146,582 172,592 26,010 0.24% $1.12M
BEAZER HOMES USA INC 185,330 223,350 38,020 0.24% $666.27K
OMEGA FLEX INC 120,836 145,286 24,450 0.24% $1.45M
AVANOS MEDICAL INC 342,700 352,900 10,200 0.23% $893.23K
AMPCO-PITTSBURGH 817,785 842,085 24,300 0.23% $2.97M
DMC GLOBAL INC 518,943 534,443 15,500 0.23% $413.53K
AMERICAN PUBLIC EDUCATION INC 106,731 109,831 3,100 0.23% $1.01M
KOPPERS HOLDINGS 151,058 155,658 4,600 0.23% $322.83K
EMBECTA CORP 415,709 428,009 12,300 0.22% -$1.00M
COSTAMARE BULKERS HOLDINGS LTD 262,424 270,124 7,700 0.22% $1.07M
NORTHRIM BANCORP INC 182,052 187,552 5,500 0.22% $417.22K
STITCH FIX INC-A 886,608 913,008 26,400 0.22% $667.55K
RING ENERGY INC 3,534,606 3,640,006 105,400 0.21% $956.41K
HOOKER FURNISHINGS CORP 241,960 321,300 79,340 0.21% $2.07M
SECURITY NATL FINL CORP CL A 405,439 468,189 62,750 0.20% $898.08K
GRID DYNAMICS HOLDINGS INC 481,560 495,860 14,300 0.20% -$397.01K
TRUBRIDGE INC 205,071 211,071 6,000 0.20% $142.76K
VIEMED HEALTHCARE INC 498,230 513,130 14,900 0.19% $717.14K
MAGNERA CORP 285,937 294,337 8,400 0.19% $1.25M
GRAFTECH INTERNATIONAL LTD 243,911 251,211 7,300 0.19% $503.00K
FOSSIL INC 1,057,474 1,089,074 31,600 0.19% $1.58M
QUANTERIX CORP 571,346 588,446 17,100 0.18% $679.76K
DOUGLAS ELLIMAN INC 1,334,451 1,374,251 39,800 0.18% $414.38K
INTEST CORP 366,063 376,963 10,900 0.17% $345.00K
INOGEN INC 566,911 583,811 16,900 0.17% -$1.23M
AMERICAS CAR MART INC 126,870 130,570 3,700 0.17% $536.67K
BANDWIDTH INC-A 228,622 235,422 6,800 0.16% -$403.40K
HURCO INC 188,435 194,135 5,700 0.16% -$171.42K
ACCO BRANDS CORP 788,952 812,452 23,500 0.16% $210.23K
Magnachip Semiconductor Corporation 1,023,373 1,053,873 30,500 0.15% -$116.22K
CODEXIS INC 1,706,390 2,412,790 706,400 0.15% -$1.05M
COMPASS Pathways PLC, ADR 394,410 406,210 11,800 0.13% $224.87K
CLEARWATER PAPER CORP 155,783 160,483 4,700 0.13% -$50.25K
HONEST CO INC (THE) 987,460 1,016,860 29,400 0.12% -$855.59K
UNIVERSAL ELECTRONICS INC 608,465 626,665 18,200 0.12% $108.40K
GAIA INC CL A 644,949 664,149 19,200 0.11% -$966.83K
CULP INC 607,475 625,675 18,200 0.11% -$239.67K
AIRGAIN INC 491,106 505,606 14,500 0.10% $21.90K
LIFETIME BRANDS INC 642,447 661,547 19,100 0.10% -$94.02K
EXPENSIFY INC-A 1,307,514 1,346,614 39,100 0.10% -$178.66K
ATOSSA THERAPEUTICS INC 2,673,414 2,753,014 79,600 0.08% -$822.82K
VIVID SEATS INC-CL A 204,176 210,176 6,000 0.08% -$1.00M
PLAYSTUDIOS INC A 2,267,884 2,335,384 67,500 0.07% -$627.33K
UPLAND SOFTWARE INC 944,793 972,993 28,200 0.06% -$671.09K
BRILLIANT EARTH GROUP INC-A 562,424 579,224 16,800 0.04% -$451.85K
OLYMPIC STEEL INC 14,794 14,894 100 0.04% $168.87K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
PACS GROUP INC 955,178 528,918 -426,260 0.88% $6.32M
PBF ENERGY INC CL A 548,880 449,800 -99,080 0.74% -$3.70M
MACERICH COMPANY 1,197,440 723,800 -473,640 0.67% -$6.83M
TALOS ENERGY INC 1,165,830 1,037,202 -128,628 0.61% $926.66K
NEOGEN CORP 1,629,570 1,093,310 -536,260 0.55% $1.12M
TETRA TECHNOLOGIES INC 1,039,312 948,762 -90,550 0.53% $3.48M
NATURAL GAS SERVICES GROUP 358,992 241,920 -117,072 0.41% -$1.61M
MYERS INDUSTRIES 402,150 353,860 -48,290 0.36% $345.03K
PROPETRO HOLDING CORP 611,800 557,900 -53,900 0.32% $59.79K
VISHAY PRECISION GROUP INC 160,813 102,343 -58,470 0.25% -$898.72K
ZUMIEZ INC 309,514 200,024 -109,490 0.24% -$1.78M
W&T OFFSHORE INC 2,774,163 2,255,736 -518,427 0.24% -$930.80K
FRONTVIEW REIT INC 349,620 292,420 -57,200 0.24% $148.67K
SAUL CENTERS INC 193,848 136,338 -57,510 0.21% -$1.41M
IBOTTA INC-CL A 136,166 63,473 -72,693 0.06% -$3.08M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
SOUTHERN FIRST BANCSHARES INC 192,362 192,362 0 0.52% $2.14M
WESTERN NEW ENGLAND BANCORP INC 512,349 512,349 0 0.34% $1.06M
FIRST COMTY CORP 139,541 139,541 0 0.20% $350.25K
RIVERVIEW BANCRP 647,304 647,304 0 0.16% -$6.47K
PROVIDENT FNL HL 206,832 206,832 0 0.16% $111.69K
LUNA INNOVATIONS INC 1,559,039 1,559,039 0 0.11% -$483.30K
EDUCATIONAL DEVELOPMENT CORP 390,079 390,079 0 0.03% -$62.41K

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.