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.
Dec 31, 2025 → Mar 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 19 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
U.S. Treasury Bills
0
750,000
750,000
3.13%
$736.32K
U.S. Treasury Bills
0
650,000
650,000
2.75%
$646.73K
U.S. Treasury Bills
0
400,000
400,000
1.68%
$395.79K
U.S. Treasury Bills
0
345,000
345,000
1.47%
$344.48K
B 0 09/17/26
0
300,000
300,000
1.25%
$294.94K
U.S. Treasury Bills
0
210,000
210,000
0.89%
$208.80K
U.S. Treasury Bills
0
210,000
210,000
0.88%
$206.76K
U.S. Treasury Bills
0
180,000
180,000
0.76%
$179.34K
U.S. Treasury Bills
0
125,000
125,000
0.53%
$124.03K
U.S. Treasury Bills
0
125,000
125,000
0.52%
$122.82K
U.S. Treasury Bills
0
120,000
120,000
0.50%
$118.06K
TECOGEN INC/WALT
0
20,000
20,000
0.22%
$51.20K
COGNITION THERAPEUTICS INC
0
30,000
30,000
0.10%
$22.78K
HARVARD BIOSCIEN
0
4,000
4,000
0.08%
$19.48K
Encore Energy Corporation
0
10,000
10,000
0.08%
$18.00K
CURIOSITYSTREAM INC CL A
0
3,000
3,000
0.04%
$8.88K
SIGHT SCIENCES INC
0
2,300
2,300
0.04%
$8.67K
NEXMETALS MINING CORP
0
2,000
2,000
0.02%
$4.90K
TPHGREENWICH TRUST
0
20,000
20,000
0.00%
$0
▶
Exited
· 17 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
U.S. Treasury Bills
1,125,000
0
-1,125,000
0.00%
-$1.12M
U.S. Treasury Bills
745,000
0
-745,000
0.00%
-$743.03K
WI TREASURY SEC. 0.000000% 02/19/2026
610,000
0
-610,000
0.00%
-$607.11K
U.S. Treasury Bills
508,000
0
-508,000
0.00%
-$507.71K
U.S. Treasury Bills
410,000
0
-410,000
0.00%
-$407.51K
U.S. Treasury Bills
385,000
0
-385,000
0.00%
-$384.51K
DENNYS CORP
60,000
0
-60,000
0.00%
-$373.20K
WIB 0 03/19/26
290,000
0
-290,000
0.00%
-$287.85K
Steel Partners Holdings LP
5,500
0
-5,500
0.00%
-$236.56K
FORGE GLOBAL HOLDINGS INC A
4,500
0
-4,500
0.00%
-$200.52K
U.S. Treasury Bills
125,000
0
-125,000
0.00%
-$124.58K
U.S. Treasury Bills
120,000
0
-120,000
0.00%
-$119.03K
U.S. Treasury Bills
115,000
0
-115,000
0.00%
-$114.22K
APPLIED OPTOELECTRONICS INC
1,800
0
-1,800
0.00%
-$62.75K
HARVARD BIOSCIENCES INC
39,000
0
-39,000
0.00%
-$26.08K
NII Holdings Escrow
22,877
0
-22,877
0.00%
-$8.01K
TRINITY PLACE HOLDINGS INC
20,000
0
-20,000
0.00%
$0
▶
Increased
· 21 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
U.S. Treasury Bills
350,000
2,150,000
1,800,000
9.12%
$1.80M
U.S. Treasury Bills
800,000
1,550,000
750,000
6.53%
$749.82K
U.S. Treasury Bills
1,300,000
1,425,000
125,000
6.06%
$136.39K
TREDEGAR CORP
130,000
134,000
4,000
4.53%
$131.90K
U.S. Treasury Bills
115,000
830,000
715,000
3.52%
$714.40K
U.S. Treasury Bills
200,000
535,000
335,000
2.26%
$334.52K
MONRO INC
15,700
16,500
800
1.13%
-$49.97K
UST BILLS 0% 05/14/2026
120,000
220,000
100,000
0.93%
$100.58K
RGC RESOURCES INC
6,000
6,300
300
0.59%
$11.12K
SPORTSMANS WHSE HLDGS INC
80,000
84,000
4,000
0.50%
$1.64K
TOWNSQUARE MEDIA INC
18,000
18,300
300
0.42%
$6.85K
LIFEWAY FOODS INC
3,000
4,600
1,600
0.38%
$16.27K
BORUSSIA DORTMUND GMBH CO KGAA
20,000
22,000
2,000
0.33%
-$387
Burnham Holdings, Inc., Class A
2,400
2,800
400
0.31%
$12.63K
AMER VANGUARD
20,000
21,000
1,000
0.22%
-$24.11K
Xtract One Technologies Inc
100,000
110,000
10,000
0.15%
-$16.08K
BYRNA TECHNOLOGIES INC
1,000
3,800
2,800
0.15%
$18.09K
READING INTL INC CL A
20,000
22,000
2,000
0.11%
$3.86K
DMC GLOBAL INC
2,500
3,000
500
0.07%
-$1.10K
Smart Eye AB
700
2,000
1,300
0.05%
$5.41K
TRINITY PLACE HOLDINGS INC
250,000
345,000
95,000
0.04%
$712
▶
Decreased
· 17 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
AMPCO-PITTSBURGH
140,000
128,500
-11,500
3.67%
$117.32K
PARK OHIO HLDGS CORP
35,700
35,300
-400
3.61%
$101.05K
MYERS INDUSTRIES
22,000
21,000
-1,000
1.89%
$32.94K
FOSTER L B CO CL A
11,600
10,300
-1,300
1.22%
-$25.25K
AVIO SPA
8,750
7,500
-1,250
1.22%
-$14.87K
GARRETT MOTION INC
12,500
12,300
-200
0.95%
$5.62K
LEE ENTERPRISES INC
24,800
24,000
-800
0.88%
$87.85K
STRATTEC SEC CORP
3,100
2,000
-1,100
0.67%
-$79.35K
GRAIL INC
3,000
2,700
-300
0.59%
-$117.23K
CECO ENVIRONMNTL
2,400
2,000
-400
0.51%
-$24.48K
VILLAGE SUPER MKT INC CL A NEW
2,600
2,200
-400
0.40%
$879
INNOVATIVE SOLUT and SUPP INC
4,500
3,500
-1,000
0.31%
-$13.38K
REDWIRE CORP
8,800
8,000
-800
0.29%
$1.12K
AXOGEN INC
3,200
500
-2,700
0.07%
-$88.17K
INNOVATE CORP
3,000
2,500
-500
0.06%
$640
COMPX INTL INC
600
500
-100
0.05%
-$2.28K
COREM PROPERTY-B
30,000
27,000
-3,000
0.04%
-$4.65K
▶
Unchanged
· 114 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
OLLAMANI SAB
85,000
85,000
0
1.48%
-$16.07K
TWIN DISC INC
22,000
22,000
0
1.41%
-$35.42K
VELAN INC
26,700
26,700
0
1.29%
-$58.58K
STANDARD MOTOR PRODUCTS INC
8,500
8,500
0
1.26%
-$17.94K
SCRIPPS (EW) CO CL A
75,000
75,000
0
1.19%
-$20.25K
GENCOR INDUSTRIES INC
16,000
16,000
0
1.02%
$32.64K
Astronics Corporation
3,200
3,200
0
0.91%
$40.14K
TREATT PLC
78,000
78,000
0
0.86%
-$11.51K
NATHANS FAMOUS INC
2,000
2,000
0
0.86%
$14.32K
CLARUS CORP
71,500
71,500
0
0.83%
-$45.04K
ENTRAVISION COMMUN CRP CL A
65,000
65,000
0
0.82%
$2.60K
NOBILITY HOMES INC COM
6,400
6,400
0
0.82%
$30.82K
ELECTROMED INC
8,200
8,200
0
0.82%
-$46.82K
ANTERIX INC
5,000
5,000
0
0.81%
$81.80K
Tribal Group PLC
270,000
270,000
0
0.76%
-$66.07K
INSPIRED ENTERTAINMENT INC
25,000
25,000
0
0.76%
-$55.75K
SUNOPTA INC
25,000
25,000
0
0.69%
$67.00K
TITAN MACHINERY INC
9,000
9,000
0
0.64%
$15.12K
MARCUS CORP
8,000
8,000
0
0.58%
$13.28K
LIMONEIRA CO
10,000
10,000
0
0.57%
$7.95K
AMERICAN OUTDOOR BRANDS INC
13,500
13,500
0
0.54%
$21.74K
RESERVOIR MEDIA INC
12,500
12,500
0
0.52%
$27.75K
ASCENT INDUSTRIES CO
9,000
9,000
0
0.51%
-$25.92K
INNOVEX INTERNATIONAL INC
4,800
4,800
0
0.50%
$12.10K
Western Copper & Gold Corp.
40,000
40,000
0
0.43%
-$5.60K
EASTERN CO
5,000
5,000
0
0.43%
$2.75K
U.S. Treasury Bills
100,000
100,000
0
0.42%
$835
NN INC
61,000
61,000
0
0.38%
$10.37K
GOODBABY INTERNATIONAL HOLDINGS LTD
700,000
700,000
0
0.37%
-$12.34K
STARZ ENTERTAINMENT CORP
7,500
7,500
0
0.37%
-$1.50K
NEW CANTERBURY PARK HOLDING CORP
5,500
5,500
0
0.36%
$1.04K
COMMERCIAL VEHICLE GROUP INC
24,000
24,000
0
0.35%
$47.28K
GRAHAM CORPORATION
1,000
1,000
0
0.34%
$14.69K
AMERICAS GOLD AN
15,000
15,000
0
0.33%
$1.65K
CHINA FOODS LTD
155,000
155,000
0
0.31%
-$13.10K
LIFETIME BRANDS INC
12,500
12,500
0
0.31%
$22.38K
FARMER BROTHERS CO
53,500
53,500
0
0.29%
-$10.16K
MOVADO GROUP INC
2,500
2,500
0
0.26%
$9.50K
KRISPY KREME INC
18,000
18,000
0
0.26%
-$11.34K
STURM RUGER & CO
1,500
1,500
0
0.26%
$11.16K
ARQ INC
22,000
22,000
0
0.24%
-$15.62K
GYRODYNE LLC
7,507
7,507
0
0.24%
-$12.01K
The Monarch Cement Co.
200
200
0
0.22%
$4.00K
BASSETT FURNITURE INDS INC
3,500
3,500
0
0.21%
-$9.14K
FULL HOUSE RESRT
20,000
20,000
0
0.19%
-$7.20K
OPTION CARE HEALTH INC
1,600
1,600
0
0.18%
-$7.90K
TRANSACT TECHNOLOGIES INC
13,000
13,000
0
0.18%
-$9.23K
Corby Spirit & Wine Ltd.
3,700
3,700
0
0.16%
-$1.54K
UTAH MEDICAL PRODUCTS INC
600
600
0
0.16%
$3.62K
NEINOR HOMES SLU
1,925
1,925
0
0.16%
-$6.23K
MARINE PRODUCTS
5,000
5,000
0
0.15%
-$7.45K
OCEANFIRST FINL
2,000
2,000
0
0.15%
$180
BEL FUSE INC VTG CL A
200
200
0
0.15%
$5.68K
MOTORCAR PARTS OF AMERICA INC
3,200
3,200
0
0.15%
-$4.10K
DIAMOND HILL INVEST GRP INC
200
200
0
0.15%
$520
PERMA-FIX ENVIRONMNTL SVCS INC
3,000
3,000
0
0.14%
-$5.70K
NEXTNAV INC
2,000
2,000
0
0.14%
-$1.24K
CFT SpA
6,000
6,000
0
0.14%
-$534
GENIUS SPORTS LTD
7,000
7,000
0
0.13%
-$46.13K
BITTIUM OYJ COMMON STOCK
700
700
0
0.13%
$4.89K
BALLYS CORP
3,000
3,000
0
0.12%
-$20.64K
EWORK GROUP AB
4,000
4,000
0
0.12%
-$12.98K
GAM HOLDING LTD
200,000
200,000
0
0.11%
-$10.48K
ORION PROPERTIES INC.
12,000
12,000
0
0.11%
-$1.32K
MAGNERA CORP
2,500
2,500
0
0.10%
-$14.08K
NIAGEN BIOSCIENCE INC
5,000
5,000
0
0.09%
-$9.75K
VNV Global AB (publ)
10,000
10,000
0
0.08%
-$4.48K
ACCURAY INC
43,800
43,800
0
0.07%
-$19.12K
Alithya Group, Inc., Class A
17,000
17,000
0
0.07%
-$3.73K
Contextlogic Holdings Inc
1,900
1,900
0
0.06%
$798
ASTRONICS CORP
200
200
0
0.06%
$2.50K
CONSOLIDATED WATER CO LTD
400
400
0
0.06%
-$868
Capstone Green Energy Holdings Inc
2,400
2,400
0
0.06%
$984
LIFECORE BIOMEDICAL
3,500
3,500
0
0.06%
-$15.61K
OIL-DRI CORP OF AMERICA
200
200
0
0.06%
$3.23K
ALICO INC
300
300
0
0.05%
$1.46K
NEURONETICS INC
8,000
8,000
0
0.05%
$560
OWENS & MINOR
5,000
5,000
0
0.05%
-$2.60K
CORE MOLDING TECH INC
500
500
0
0.05%
$1.18K
Sportech PLC
10,000
10,000
0
0.05%
-$197
PETMED EXPRESS INC
4,000
4,000
0
0.04%
-$3.68K
Trans-Lux Corp.
80,002
80,002
0
0.04%
$4.00K
BEASLEY BROAD -A
2,500
2,500
0
0.04%
-$4.18K
MIND TECHNOLOGY INC
1,000
1,000
0
0.04%
-$440
Bowlin Travel Centers, Inc.
2,000
2,000
0
0.03%
$40
DU-ART FILM LABS INC
6,000
6,000
0
0.03%
$0
Tristel PLC
1,300
1,300
0
0.03%
-$1.12K
SHENANDOAH TELECOM CO
400
400
0
0.03%
$1.54K
DAKTRONICS INC
300
300
0
0.02%
-$66
Playmates Holdings Ltd.
71,000
71,000
0
0.02%
$283
BOSTON OMAHA CORP
400
400
0
0.02%
-$276
CPI AEROSTRUCTURES INC
1,000
1,000
0
0.02%
-$40
DAXOR CORP
400
400
0
0.02%
-$2.01K
QUEST RESOURCE HOLDING CORP
3,000
3,000
0
0.02%
-$2.01K
ORION SA
500
500
0
0.01%
$610
Pacific Online Ltd
60,000
60,000
0
0.01%
-$18
KOPIN CORP
1,000
1,000
0
0.01%
-$90
LOOP INDUSTRIES INC
1,500
1,500
0
0.01%
$645
BLACKLINE SAFETY CORP
400
400
0
0.01%
$159
Capital Properties, Inc., Class A
150
150
0
0.01%
$120
ULTRALIFE CORP
300
300
0
0.01%
$240
Corus Entertainment, Inc., Class B
90,000
90,000
0
0.01%
-$354
Fluence Corp Ltd
31,000
31,000
0
0.01%
-$144
Ilika PLC
4,000
4,000
0
0.01%
-$751
S&W SEED CO
11,000
11,000
0
0.01%
$110
MEDIACO HOLDING INC
1,000
1,000
0
0.00%
$79
Paratek Pharmaceuticals CVR
30,000
30,000
0
0.00%
$0
ASPEN GROUP INC
2,000
2,000
0
0.00%
$219
Epizyme, Inc., CVR
16,000
16,000
0
0.00%
$0
Asetek A/S
900
900
0
0.00%
-$331
CUMULUS MEDIA INC
9,000
9,000
0
0.00%
-$648
Oncimmune Holdings PLC
2,900
2,900
0
0.00%
-$1
Armstrong Flooring Inc
59,026
59,026
0
0.00%
$0
Achaogen Inc
40,000
40,000
0
0.00%
$0
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