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.
Nov 30, 2025 → Feb 28, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 75 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
AVINO SILVER GOLD MINES LTD
0
300,000
300,000
1.61%
$2.89M
BEL FUSE INC NV CL B
0
12,000
12,000
1.54%
$2.76M
ENDEAVOUR SILVER
0
150,000
150,000
1.16%
$2.08M
LEGACY HOUSING CORP
0
95,000
95,000
1.16%
$2.08M
MCEWEN MINING INC
0
68,000
68,000
1.08%
$1.93M
EZCORP INC CL A NON VTG
0
70,000
70,000
1.04%
$1.86M
RADIANT LOGISTICS INC
0
235,000
235,000
0.97%
$1.74M
NPK INTERNATIONAL INC
0
120,000
120,000
0.97%
$1.73M
SILVERCREST ASSET MGMT GRP INC CL A
0
110,000
110,000
0.93%
$1.67M
PERMA-FIX ENVIRONMNTL SVCS INC
0
116,132
116,132
0.88%
$1.58M
NWPX INFRASTRUCTURE INC
0
20,000
20,000
0.87%
$1.55M
VAALCO ENERGY INC
0
275,000
275,000
0.79%
$1.42M
GENCOR INDUSTRIES INC
0
87,000
87,000
0.76%
$1.36M
NORTHERN TECHNOLOGIES INTL
0
148,000
148,000
0.73%
$1.32M
U S GLOBAL INVS INC CL A
0
395,000
395,000
0.73%
$1.32M
INFUSYSTEM HOLDINGS INC
0
143,000
143,000
0.70%
$1.25M
BK TECHNOLOGIES CORP
0
14,000
14,000
0.68%
$1.22M
GCM GROSVENOR INC - CLASS A
0
102,000
102,000
0.66%
$1.18M
CARRIAGE SERVICES INC
0
25,000
25,000
0.64%
$1.15M
PHOTRONICS INC
0
30,000
30,000
0.63%
$1.12M
LSI INDUSTRIES INC
0
48,000
48,000
0.58%
$1.04M
CRAWFORD & CO-A
0
94,500
94,500
0.57%
$1.02M
HF FOODS GROUP INC
0
466,000
466,000
0.54%
$973.94K
EMBECTA CORP
0
94,000
94,000
0.54%
$964.44K
ORION GROUP HOLDINGS INC
0
70,000
70,000
0.54%
$961.10K
KARAT PACKAGING INC
0
38,000
38,000
0.52%
$936.70K
EVI INDUSTRIES INC
0
46,000
46,000
0.50%
$893.78K
MITEK SYSTEMS INC
0
60,000
60,000
0.49%
$874.80K
VIEMED HEALTHCARE INC
0
100,000
100,000
0.49%
$870.00K
TECHPRECISION CORP
0
218,000
218,000
0.48%
$856.74K
DLH HOLDINGS CORP
0
135,000
135,000
0.45%
$810.00K
DHI GROUP INC
0
285,000
285,000
0.40%
$709.65K
RESEARCH SOLUTIONS INC
0
305,518
305,518
0.40%
$708.80K
PAYSIGN INC
0
195,000
195,000
0.39%
$692.25K
ASURE SOFTWARE INC
0
75,000
75,000
0.38%
$685.50K
POWERFLEET INC
0
190,000
190,000
0.38%
$678.30K
CODA OCTOPUS GROUP INC
0
50,000
50,000
0.38%
$678.00K
AVIAT NETWORKS INC
0
27,000
27,000
0.38%
$676.08K
CONSENSUS CLOUD SOLUTION
0
22,000
22,000
0.37%
$661.76K
NATURAL GAS SERVICES GROUP
0
17,000
17,000
0.36%
$650.42K
MAYVILLE ENGINEERING CO INC
0
30,000
30,000
0.35%
$630.00K
INFORMATION SVCS GROUP INC
0
123,883
123,883
0.33%
$595.88K
TWIN DISC INC
0
32,000
32,000
0.32%
$582.08K
Ibex Ltd. SHS NEW
0
20,000
20,000
0.32%
$578.00K
CREATIVE REALITIES INC
0
160,000
160,000
0.31%
$560.00K
OOMA INC
0
45,000
45,000
0.31%
$556.20K
PERION NETWORK LTD COMMON STOCK
0
65,000
65,000
0.31%
$555.75K
STAR EQUITY HOLDINGS INC
0
55,000
55,000
0.31%
$548.90K
CHICAGO ATLANTIC
0
45,000
45,000
0.30%
$546.75K
UNIVERSAL TECHNI
0
15,000
15,000
0.30%
$543.00K
SENSUS HEALTHCARE INC
0
125,586
125,586
0.29%
$516.16K
BOWMAN CONSULTING GROUP LTD
0
15,000
15,000
0.28%
$503.10K
FLEX SOLUTIONS I
0
90,000
90,000
0.27%
$481.50K
USIO INC
0
340,000
340,000
0.26%
$459.00K
HERITAGE GLOBAL
0
345,000
345,000
0.25%
$455.40K
FIRST INTERNET BANCORP
0
22,000
22,000
0.25%
$446.16K
AEBI SCHMIDT HOLDING AG COMMON STOCK USD1.0
0
30,004
30,004
0.24%
$432.66K
BIOTE CORP-A
0
200,000
200,000
0.24%
$424.00K
POWER SOLUTIONS INTL INC
0
5,000
5,000
0.23%
$417.50K
ULTRALIFE CORP
0
70,000
70,000
0.22%
$396.90K
COMPASS DIVERSIF
0
52,000
52,000
0.22%
$389.48K
VITESSE ENERGY INC
0
20,000
20,000
0.22%
$386.20K
FLUSHING FINL
0
25,000
25,000
0.22%
$385.75K
IMMERSION CORP
0
62,000
62,000
0.21%
$378.82K
MODIV INDUSTRIAL INC
0
23,000
23,000
0.20%
$356.73K
NETSOL TECHNOLOGIES INC
0
100,000
100,000
0.20%
$352.00K
ARQ INC
0
75,000
75,000
0.15%
$263.25K
ASCENT INDUSTRIES CO
0
15,000
15,000
0.14%
$257.40K
VIRTRA INC
0
58,264
58,264
0.14%
$254.03K
QUEST RESOURCE HOLDING CORP
0
130,000
130,000
0.13%
$230.10K
ASSERTIO HOLDINGS INC
0
14,000
14,000
0.09%
$163.24K
SKYX PLATFORMS CORP
0
80,000
80,000
0.09%
$154.40K
AYTU BIOSCIENCE INC
0
20,000
20,000
0.03%
$51.40K
Greystone Logistics Inc
0
115,000
115,000
0.02%
$38.52K
PURE CYCLE CORP
0
35,000
35,000
0.00%
$0
▶
Exited
· 5 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
DENNYS CORP
250,000
0
-250,000
0.00%
-$1.54M
PENGUIN SOLUTIONS INC
70,000
0
-70,000
0.00%
-$1.42M
VIRCO MFG
143,000
0
-143,000
0.00%
-$1.01M
NATHANS FAMOUS INC
7,000
0
-7,000
0.00%
-$645.82K
ACCURAY INC
467,000
0
-467,000
0.00%
-$504.36K
▶
Increased
· 11 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
FIRST AM-TR OB-X
10,242,267
12,538,528
2,296,261
6.99%
$2.30M
LINCOLN EDUCATIONAL SERVICES
119,000
144,000
25,000
2.91%
$2.77M
CECO ENVIRONMNTL
44,000
47,000
3,000
1.58%
$546.55K
SUPERIOR GROUP OF COS INC
234,000
279,000
45,000
1.55%
$495.99K
NATURE'S SUNSHNE
72,000
97,000
25,000
1.50%
$1.20M
MILLER INDUSTRIES INC TENN
33,731
59,731
26,000
1.40%
$1.20M
HAMILTON BEACH BRANDS HOLDING CO CLASS A
88,051
115,000
26,949
1.22%
$785.19K
GLOBAL WATER RESOURCES INC
113,000
153,000
40,000
0.78%
$433.07K
EVOLUTION PETROLEUM CORP
162,300
312,300
150,000
0.78%
$758.14K
MOVADO GROUP INC
32,000
48,000
16,000
0.67%
$527.52K
ALLIANCE ENTERTAINMENT HOLDING CORP CS A
83,000
148,000
65,000
0.45%
$244.58K
▶
Decreased
· 9 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
GREEN BRICK PARTNERS INC
71,000
66,000
-5,000
2.71%
$42.08K
ROCKY BRANDS INC
105,000
85,000
-20,000
2.14%
$653.15K
US LIME & MINERA
46,000
31,500
-14,500
2.01%
-$2.00M
BUILD A BEAR WORKSHOP INC
74,000
67,000
-7,000
1.82%
-$669.18K
QEP COMPANY INC
94,800
83,400
-11,400
1.81%
-$159.73K
BOOT BARN HOLDINGS INC
21,000
17,000
-4,000
1.79%
-$853.48K
BARRETT BUS SVCS
112,000
96,000
-16,000
1.49%
-$1.26M
INTERFACE INC
143,000
80,000
-63,000
1.41%
-$1.47M
LAKELAND INDUSTRIES INC
142,000
44,000
-98,000
0.23%
-$1.75M
▶
Unchanged
· 28 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
LINDBLAD EXPEDITIONS HOLDINGS
194,000
194,000
0
2.13%
$1.49M
HEALTHCARE SERVS
168,000
168,000
0
2.04%
$502.32K
ACME UNITED CORP
81,000
81,000
0
2.03%
$648.81K
BLUE BIRD CORP
61,000
61,000
0
1.98%
$369.05K
ALAMO GROUP INC
16,100
16,100
0
1.92%
$855.88K
LIQUIDITY SERVICES INC
107,000
107,000
0
1.89%
$167.99K
POSTAL REALTY TRUST INC
163,000
163,000
0
1.88%
$845.97K
ESCALADE INC
214,000
214,000
0
1.72%
$243.96K
ALLIENT INC
39,000
39,000
0
1.43%
$467.22K
DUCOMMUN INC
20,300
20,300
0
1.40%
$647.57K
EASTERN CO
120,000
120,000
0
1.24%
-$111.60K
FREIGHTCAR AMERICA INC
150,000
150,000
0
1.16%
$847.50K
ETHAN ALLEN INTERIORS INC
90,500
90,500
0
1.15%
-$77.83K
BAR HARBOR BNKSH
50,500
50,500
0
0.91%
$122.21K
WESTWOOD HOLDINGS GROUP INC
92,000
92,000
0
0.86%
-$16.56K
TURTLE BEACH CORP
121,000
121,000
0
0.85%
-$162.14K
SIMULATIONS PLUS INC
115,500
115,500
0
0.79%
-$550.94K
FIRST BUSEY CORP
50,000
50,000
0
0.71%
$91.00K
JOHNSON OUTDOORS INC CL A
21,101
21,101
0
0.57%
$158.26K
CENTRAL GARDEN and PET CO
19,800
19,800
0
0.43%
$99.59K
APOGEE ENTERPRISES INC
19,000
19,000
0
0.42%
$64.79K
HACKETT GROUP INC
52,000
52,000
0
0.40%
-$250.12K
CANTALOUPE INC
66,000
66,000
0
0.38%
-$15.18K
SHOE CARNIVAL
33,000
33,000
0
0.37%
$121.11K
TENNANT CO
10,500
10,500
0
0.36%
-$127.05K
CARPARTS.COM INC
650,000
650,000
0
0.26%
$111.28K
CENTRAL GARDEN and PET CO CL A
4,950
4,950
0
0.10%
$17.82K
TRUETT-HURST INC
278,942
278,942
0
0.00%
$0
Machine-readable:
JSON ·
Markdown .
Programmatic access via the agent surface .