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
· 14 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
FIXED INC CLEARING CORP.REPO
0
9,408,988
9,408,988
2.91%
$9.41M
RILEY EXPLORATION PERMIAN INC
0
47,233
47,233
0.53%
$1.72M
AZENTA INC
0
72,731
72,731
0.48%
$1.54M
FOX FACTORY HOLDING CORP
0
82,544
82,544
0.42%
$1.36M
CERTARA INC
0
193,466
193,466
0.34%
$1.10M
MARTEN TRANSPORT LTD
0
83,674
83,674
0.34%
$1.10M
COMPASS THERAPEUTICS INC
0
155,547
155,547
0.25%
$822.84K
PAGERDUTY INC
0
128,418
128,418
0.25%
$797.48K
BRIDGEBIO ONCOLOGY THERAPEUTIC
0
68,787
68,787
0.19%
$615.64K
VERA BRADLEY INC
0
164,811
164,811
0.16%
$520.80K
ACV AUCTIONS INC CL A
0
110,620
110,620
0.15%
$469.03K
WABASH NATIONAL CORP
0
48,108
48,108
0.13%
$414.69K
ALIGHT INC-CL A
0
240,826
240,826
0.04%
$140.33K
VERADIGM INC
0
28,812
28,812
0.04%
$133.98K
▶
Exited
· 12 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
FIXED INC CLEARING CORP.REPO
6,189,576
0
-6,189,576
0.00%
-$6.19M
HARROW INC
64,004
0
-64,004
0.00%
-$3.14M
STELLAR BANCORP INC
91,545
0
-91,545
0.00%
-$2.83M
IES HOLDINGS INC
6,704
0
-6,704
0.00%
-$2.61M
SIMILARWEB LTD
160,845
0
-160,845
0.00%
-$1.20M
INOGEN INC
164,306
0
-164,306
0.00%
-$1.10M
REPAY HOLDINGS CORP
264,411
0
-264,411
0.00%
-$965.10K
RESOURCES CONNECTION INC
130,515
0
-130,515
0.00%
-$657.80K
NVE CORP
10,353
0
-10,353
0.00%
-$614.24K
West Coast Community Bancorp
5,311
0
-5,311
0.00%
-$232.36K
CASS INFORMATION SYSTEMS INC
1,586
0
-1,586
0.00%
-$65.85K
BED BATH & BEYOND INC Warrants (OCT 2025)
8,840
0
-8,840
0.00%
-$5.83K
▶
Increased
· 55 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
COHU INC
137,479
142,006
4,527
1.35%
$1.15M
ADTRAN HOLDINGS INC
289,084
331,821
42,737
1.29%
$1.66M
TRANSCAT INC
40,834
47,807
6,973
1.09%
$1.19M
OPPENHEIMER HO-A
32,695
36,114
3,419
1.00%
$857.49K
RICHARDSON ELECTRONICS LTD
250,829
280,641
29,812
0.95%
$344.00K
INTERNATIONAL GENERAL INSURANCE HOLDINGS LTD BERMUDA
117,898
118,206
308
0.89%
-$94.52K
MESA LABS
29,979
31,128
1,149
0.85%
$398.99K
LIMBACH HOLDINGS INC
33,950
35,152
1,202
0.85%
$100.61K
LIQUIDITY SERVICES INC
89,148
89,481
333
0.85%
$33.36K
COVENANT LOGISTICS GROUP INC
94,177
100,582
6,405
0.85%
$655.14K
LSI INDUSTRIES INC
94,895
133,375
38,480
0.77%
$742.30K
AMERICAN OUTDOOR BRANDS INC
236,142
263,882
27,740
0.76%
$639.28K
AMN HEALTHCARE SERVICES INC
123,317
132,322
9,005
0.75%
$483.31K
TITAN MACHINERY INC
110,198
138,459
28,261
0.72%
$657.66K
BAYCOM CORP
75,606
76,838
1,232
0.71%
$61.19K
EVI INDUSTRIES INC
85,622
109,577
23,955
0.70%
$145.37K
MASTERCRAFT BOAT HOLDINGS INC
91,420
109,838
18,418
0.70%
$524.03K
PROFOUND MEDICAL CORP
292,645
322,570
29,925
0.64%
-$232.56K
QUINSTREET INC
146,699
168,721
22,022
0.63%
-$81.73K
QUANEX BUILDING PRODUCTS
110,652
111,852
1,200
0.62%
$308.15K
CLEARFIELD INC
71,769
73,252
1,483
0.60%
-$153.09K
POWERFLEET INC
551,742
628,693
76,951
0.60%
-$998.89K
CAREDX INC
108,356
111,373
3,017
0.60%
-$107.99K
ESQUIRE FINL HLDGS INC
17,304
17,778
474
0.59%
$144.92K
RADIANT LOGISTICS INC
218,113
256,225
38,112
0.56%
$425.73K
CLIMB GLOBAL SOLUTIONS INC
22,416
89,664
67,248
0.55%
-$527.00K
SANDRIDGE ENERGY INC
97,667
107,579
9,912
0.54%
$345.28K
BOWMAN CONSULTING GROUP LTD
19,051
53,850
34,799
0.47%
$902.43K
SIMULATIONS PLUS INC
120,661
127,873
7,212
0.47%
-$688.19K
ONEWATER MARINE CL A
128,061
158,090
30,029
0.46%
$108.33K
MARAVAI LIFESCIENCES HOLDINGS INC
489,809
508,413
18,604
0.45%
-$153.07K
KFORCE INC
36,546
48,870
12,324
0.44%
$298.96K
CROSS COUNTRY HEALTHCARE INC
113,158
144,418
31,260
0.42%
$440.95K
FORWARD AIR CORP
64,067
78,796
14,729
0.41%
-$284.99K
ENERGY RECOVERY INC
99,721
130,581
30,860
0.41%
-$30.29K
NETGEAR INC
24,153
60,119
35,966
0.41%
$720.53K
TARGET HOSPITALITY CORP
95,474
137,299
41,825
0.39%
$509.39K
MISTRAS GROUP INC
41,996
82,804
40,808
0.38%
$692.59K
PAR TECHNOLOGY CORP
40,152
88,974
48,822
0.37%
-$270.69K
ASURE SOFTWARE INC
90,836
132,315
41,479
0.35%
$282.23K
PENGUIN SOLUTIONS INC
61,517
62,939
1,422
0.34%
-$95.55K
JANUS INTERNATIONAL GROUP INC
189,295
204,014
14,719
0.33%
-$187.32K
TITAN INTL INC
147,544
150,482
2,938
0.32%
-$115.44K
STONERIDGE INC
167,518
211,241
43,723
0.32%
$50.36K
OVERSTOCK.COM INC DEL
211,237
214,212
2,975
0.31%
-$159.41K
TRUEBLUE INC
215,925
245,844
29,919
0.30%
-$21.21K
ANGIODYNAMICS INC
54,331
83,474
29,143
0.29%
$251.49K
J. JILL INC
57,183
77,800
20,617
0.28%
$107.04K
ALPHA TEKNOVA INC
86,818
308,072
221,254
0.28%
$560.42K
FIRST WATCH RESTAURANT GROUP INC
39,218
80,710
41,492
0.26%
$254.43K
STANDARD BIOTOOLS INC
786,553
863,296
76,743
0.25%
-$213.16K
SOPHIA GENETICS SA
48,787
156,697
107,910
0.24%
$547.81K
DELCATH SYSTEMS
45,568
57,447
11,879
0.17%
$72.87K
SMARTRENT INC
161,172
186,654
25,482
0.09%
-$45.59K
WESTPORT FUEL SYSTEMS INC
67,279
141,767
74,488
0.08%
$152.39K
▶
Decreased
· 50 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ULTRA CLEAN HOLDINGS INC
113,877
78,651
-35,226
1.51%
$2.01M
5N PLUS INC COMMON STOCK
215,151
212,127
-3,024
1.50%
$2.05M
ICHOR HOLDINGS LTD
174,572
96,161
-78,411
1.39%
$1.26M
SPROTT INC
40,488
30,875
-9,613
1.36%
$440.32K
NWPX INFRASTRUCTURE INC
57,733
55,275
-2,458
1.33%
$695.98K
NATURAL GAS SERVICES GROUP
115,524
114,024
-1,500
1.33%
$415.88K
BEL FUSE INC NV CL B
22,359
20,856
-1,503
1.28%
$336.31K
GRAHAM CORPORATION
52,954
51,494
-1,460
1.26%
$662.67K
NPK INTERNATIONAL INC
302,016
277,618
-24,398
1.25%
$422.65K
PARK AEROSPACE CORP
144,984
140,735
-4,249
1.19%
$759.37K
INVESTAR HOLDING CORP
141,600
138,211
-3,389
1.17%
-$14.54K
DIGI INTL INC
79,635
77,135
-2,500
1.15%
$270.51K
MAJOR DRILLING GROUP INTL INC
369,671
318,982
-50,689
1.14%
$199.04K
CECO ENVIRONMNTL
64,331
61,460
-2,871
1.13%
-$188.42K
NLIGHT INC
96,612
63,580
-33,032
1.12%
$1.42K
LINDBLAD EXPEDITIONS HOLDINGS
216,687
201,337
-15,350
1.08%
$358.50K
WESTERN NEW ENGLAND BANCORP INC
263,296
258,772
-4,524
1.04%
$23.13K
IMAX Corporation COM NPV
92,293
87,293
-5,000
1.03%
-$93.14K
CAMTEK LTD
21,936
20,936
-1,000
0.98%
$841.32K
NOVA LTD
9,332
7,295
-2,037
0.98%
$103.54K
VISHAY PRECISION GROUP INC
78,297
71,848
-6,449
0.97%
$105.21K
CITI TRENDS INC
75,101
71,311
-3,790
0.96%
-$32.01K
LIGHTPATH TECHNOLOGIES CL A
362,490
290,176
-72,314
0.90%
-$1.00M
ACME UNITED CORP
61,998
60,998
-1,000
0.85%
$240.28K
APPLIED OPTOELECTRONICS INC
96,974
32,350
-64,624
0.85%
-$644.03K
LUXFER HOLDINGS PLC
222,144
221,762
-382
0.84%
-$304.55K
KOPIN CORP
1,216,649
1,192,237
-24,412
0.83%
-$164.43K
ASTRONICS CORP
64,115
39,965
-24,150
0.83%
-$810.73K
CANACCORD GENUITY GROUP INC COMMON STOCK
301,592
296,592
-5,000
0.79%
$109.07K
VSE CORP
14,081
13,251
-830
0.76%
$10.71K
NORTHEAST BANK
23,355
21,018
-2,337
0.73%
-$65.49K
CYTEK BIOSCIENCES INC
499,003
477,596
-21,407
0.65%
-$432.87K
ORIC PHARMACEUTICALS INC
203,120
154,645
-48,475
0.61%
$297.83K
BIOLIFE SOLUTIONS INC
105,042
101,542
-3,500
0.60%
-$602.49K
HBT FINANCIAL INC
71,524
68,430
-3,094
0.57%
-$20.45K
DISTRIBUTION SOLUTIONS GROUP INC
79,378
58,581
-20,797
0.48%
-$637.00K
REALREAL INC/THE
227,260
164,725
-62,535
0.46%
-$2.09M
ESPERION THERAPEUTICS INC NEW
565,515
539,820
-25,695
0.46%
-$613.30K
CLARKSON PLC COMMON STOCK
28,542
23,047
-5,495
0.44%
-$53.91K
COASTAL FINANCIAL CORP/WA
19,218
16,078
-3,140
0.38%
-$978.65K
PERMA PIPE INTERNATIONL HOLDINGS INC
44,582
37,876
-6,706
0.35%
-$224.43K
HOVNANIAN ENTERPRISES INC CL A
13,415
10,157
-3,258
0.35%
-$181.99K
AEHR TEST SYSTEMS
31,946
28,903
-3,043
0.33%
$426.73K
AEBI SCHMIDT HOLDING AG
105,633
99,360
-6,273
0.30%
-$371.47K
DHI GROUP INC
254,121
232,659
-21,462
0.20%
$259.88K
SHOE CARNIVAL
48,364
33,939
-14,425
0.16%
-$287.28K
SENECA FOODS CORP CL A
22,809
3,099
-19,710
0.15%
-$2.06M
ASTRONOVA INC
140,945
47,320
-93,625
0.13%
-$784.30K
Federated Government Obligations Fund
5,288,379
347,487
-4,940,892
0.11%
-$4.94M
LUNA INNOVATIONS INC
127,425
110,212
-17,213
0.03%
-$29.96K
▶
Unchanged
· 40 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
LINCOLN EDUCATIONAL SERVICES
131,427
131,427
0
1.66%
$2.17M
EZCORP INC CL A NON VTG
172,313
172,313
0
1.35%
$1.03M
ALTIUS MINERALS CORP COMMON STOCK
102,661
102,661
0
1.12%
$556.30K
ESTABLISHMENT LABS HOLDINGS INC
56,202
56,202
0
0.99%
-$904.85K
LEGACY EDUCATION INC
253,058
253,058
0
0.98%
$589.63K
CUSTOMERS BANCORP INC
43,428
43,428
0
0.93%
-$161.12K
INTEST CORP
220,595
220,595
0
0.93%
$1.36M
SELECT WATER SOLUTIONS INC CL A
179,694
179,694
0
0.85%
$858.94K
MONTROSE ENVIRONMENTAL GROUP INC
113,185
113,185
0
0.77%
-$332.76K
AMERESCO INC-CL A
95,884
95,884
0
0.76%
-$363.40K
ARTIVION INC
64,962
64,962
0
0.74%
-$584.01K
HAMMOND POWER SOLUTIONS INC COMMON STOCK
17,718
17,718
0
0.69%
$174.93K
PASON SYSTEMS INC COMMON STOCK
228,074
228,074
0
0.67%
$178.37K
APYX MEDICAL CORP
586,780
586,780
0
0.67%
$111.49K
RANGER ENERGY SERVICES INC CL A
125,052
125,052
0
0.66%
$395.16K
LEGACY HOUSING CORP
101,199
101,199
0
0.64%
$92.09K
CHAIN BRIDGE BANCORP INC
58,448
58,448
0
0.63%
$15.20K
HINGHAM INST SVG
6,987
6,987
0
0.62%
$13.14K
HOMETRUST BANCSHARES INC
44,284
44,284
0
0.59%
-$12.84K
CORE MOLDING TECH INC
78,404
78,404
0
0.54%
$184.25K
CONCRETE PUMPING HOLDINGS INC
239,783
239,783
0
0.53%
$103.11K
FERROGLOBE PLC
412,754
412,754
0
0.53%
-$214.63K
ARLO TECHNOLOGIES INC
114,726
114,726
0
0.51%
$27.53K
LINDSAY CORP
13,135
13,135
0
0.48%
$15.76K
SILVERCREST ASSET MGMT GRP INC CL A
105,793
105,793
0
0.44%
-$185.14K
AMER SUPERCONDTR
41,960
41,960
0
0.44%
$212.74K
MAGNITE INC
102,260
102,260
0
0.38%
-$444.83K
CPI AEROSTRUCTURES INC
303,127
303,127
0
0.37%
-$12.13K
MARCUS & MILLICH
41,706
41,706
0
0.34%
-$29.19K
ALPHA and OMEGA SEMICNDTR LTD
49,619
49,619
0
0.34%
$116.60K
KRAKEN ROBOTICS INC COMMON STOCK
185,609
185,609
0
0.33%
$201.94K
LGI HOMES INC
25,759
25,759
0
0.32%
-$88.35K
RIBBON COMMUNICATIONS INC
437,471
437,471
0
0.29%
-$332.48K
ALTA EQUIPMENT GROUP INC
163,792
163,792
0
0.27%
$126.12K
LAKELAND INDUSTRIES INC
106,266
106,266
0
0.27%
-$69.07K
ABSCI CORP
219,651
219,651
0
0.20%
-$107.63K
CENTURY CASINOS INC
461,349
461,349
0
0.20%
$27.68K
PERELLA WEINBERG PARTNERS
27,885
27,885
0
0.16%
$23.98K
ALPHAMIN RESOURCES CORP
100,088
100,088
0
0.03%
-$4.04K
MIDWAY INVESTMENTS LTD
1,858,170
1,858,170
0
0.00%
$0
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