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Institutional

Pacific Ridge Capital Partners, LLC

CIK 0001591546
$461.8M
Reported AUM
137
Positions
Q1 2026
Period
2026-05-11
Filed

The Brief · Pacific Ridge Capital Partners, LLC · Q1 2026

AI · grounded in 13F

Pacific Ridge Capital Partners, LLC closed its position in Lincoln Education Services LINC, reducing exposure by $7.33M. The fund also exited its position in One Stop Systems OSS, resulting in a $3.1M decrease. On the buy side, the fund increased its holdings in Kelly Services Cls A KELYA by 365.87% and Shoe Carnival Inc SCVL by 103.07%.

Portfolio · Q1 2026

NBN$14.3MALCO$11.8MNGS$11.5MMCB$11.4MHRTG$10.7MDHX$10.2MAPEI$9.5MJAKK$8.7MAVNW$8.7MNWPX$8.6MMPAA$8.5MVBNK$8.4MOther$339.6MPL

Top holdings

QoQ vs Q4 2025

#TickerIssuerValue% of bookΔ shares (QoQ)Status
1NBNNortheast Bank$14.3M3.10%+204+0.2%
2ALCOAlico Inc$11.8M2.55%+862+0.3%
3NGSNatural Gas Services Group Inc$11.5M2.50%-40,288-11.7%
4MCBMetropolitan Bank Hld$11.4M2.47%+5,362+4.1%
5HRTGHeritage Insurance Hlds Inc$10.7M2.31%+33,907+9.1%
6DHXDHI Group$10.2M2.21%+190,778+5.5%
7APEIAmerican Public Education$9.5M2.06%+376+0.2%
8JAKKJAKKS Pacific Inc$8.7M1.88%+30,650+7.5%
9AVNWAviat Networks Inc$8.7M1.88%+11,983+3.2%
10NWPXNWPX Infrastructure$8.6M1.86%-39,979-26.6%
11MPAAMotorCar Parts of America Inc$8.5M1.85%+79,919+11.5%
12VBNKVersabank$8.4M1.81%+4,895+0.8%
13PKBKParke Bancorp$8.3M1.80%+1,001+0.3%
14UNTYUnity Bancorp$8.2M1.78%+9,182+6.1%
15BWFGBankwell Financial Group$8.2M1.76%+436+0.3%
16BBWBuild A Bear Workshop$8.1M1.75%+50,256+30.3%
17FSBWFS Bancorp$8.0M1.74%+629+0.3%
18TWINTwin Disc Inc$8.0M1.73%+2,728+0.5%
19KEKimball Electronics$7.6M1.65%+1,005+0.3%
20LAKELakeland Industries$7.6M1.65%+156,966+20.3%
21FBIZFirst Business Financial Servi$7.6M1.65%+437+0.3%
22AIIAmerican Integrity Insurance$7.5M1.63%+79,095+25.5%
23HBNCHorizon Bancorp$7.1M1.54%+1,626+0.4%
24BWMNBowman Consulting Grp$7.0M1.51%+780+0.3%
25CBNKCapital Bancorp$6.9M1.49%+36,878+19.0%
26INTTInTest Corp$6.9M1.48%-15,232-2.9%
27PMTSCPI Card Group$6.8M1.46%+23,571+5.3%
28FSBCFive Star Bancorp$6.7M1.44%-18,812-9.6%
29HBBHamilton Beach Brands Hld$6.5M1.41%+3,638+1.1%
30CBANColony Bankcorp$6.4M1.39%-58,244-15.3%
31USCBUSCB Financial Hlds$6.3M1.37%+1,152+0.3%
32RMNIRimini Street Inc.$6.3M1.36%+56,012+3.0%
33MLRMiller Industries Inc$6.2M1.35%+1,565+1.2%
34ASURAsure Software$6.0M1.31%+3,071+0.4%
35CBKCommercial Banc Group$5.9M1.27%+85,931+61.6%
36RCMTRCM Technologies$5.5M1.18%+27,378+10.6%
37ORRFOrrstown Financial Services$5.3M1.15%+370+0.3%
38RRGBRed Robin Gourmet Burgers$5.3M1.14%+404,525+29.1%
39KELYAKelly Services Cls A$4.8M1.05%+429,778+365.9%
40SCVLShoe Carnival Inc$4.8M1.04%+157,076+103.1%
41PINEAlpine Income Property Trust$4.8M1.04%+2,172+0.8%
42ASYSAmtech Systems$4.7M1.03%-222,440-35.4%
43XRNChiron Real Estate Inc$4.4M0.94%+2,627+2.0%
44MGMistras Group Inc$4.2M0.91%+1,445+0.5%
45BOOMDMC Global Inc$4.2M0.91%+161,482+25.1%
46RVSBRiverview Bancorp$4.2M0.90%+31,671+4.4%
47JILLJ. Jill Inc$4.1M0.89%+174,897+95.9%
48FORRForrester Research$4.0M0.87%+121,959+20.7%
49ACTGAcacia Research Corp$3.9M0.85%+6,918+0.9%
50RPAYRepay Holdings Cls A$3.7M0.80%+324,136+29.8%
51CPSCooper Standard Hlds$3.7M0.79%-20,387-13.4%
52CMTCore Molding Technologies$3.2M0.70%-655-0.5%
53SNBRSleep Number Corp$3.2M0.69%+621,833+54.3%
54SRTSSensus Healthcare$3.2M0.69%+97,438+13.9%
55SUNSSunrise Realty Trust$3.1M0.67%+50,943+14.5%
56HBCPHome Bancorp, Inc$3.0M0.65%-31,449-38.7%
57MCSMarcus Corp$2.9M0.62%+652+0.4%
58LCUTLifetime Brands Inc$2.8M0.62%+13,672+2.8%
59TLYSTilly's Inc Cls A$2.8M0.61%+697+0.1%
60SAMGSilvercrest Asset Mgmnt Cls A$2.8M0.60%+809+0.4%
61GNSSGenasys$2.6M0.57%+124,972+9.4%
62HURCHurco Companies Inc$2.5M0.54%+5,558+3.4%
63BGSFBGSF Inc$2.5M0.54%+27,562+7.7%
64PARKPark Dental$2.3M0.49%-21,443-13.7%
65PLABPhotronics Inc$2.1M0.45%-3,664-6.6%
66PRDOPerdoceo Education Corp.$2.0M0.44%+4,475+8.9%
67HCSGHealthcare Services Group Inc$1.8M0.40%+18+0.0%
68CASHPathward Financial Inc$1.8M0.38%+4+0.0%
69KOPKoppers Holdings$1.7M0.36%+3,921+9.9%
70PAMTPAMT Corp$1.6M0.36%+759+0.4%
71DXPEDXP Enterprises, Inc$1.6M0.36%+3+0.0%
72SHIMShimmick$1.6M0.35%+9,747+2.3%
73CCBCoastal Financial$1.6M0.34%+4,692+29.9%
74CRICarters$1.5M0.34%+43+0.1%
75CMTLComtech Telecom Corp$1.5M0.33%+4,689+1.0%
76STGWStagwell Inc$1.5M0.33%-19,464-7.4%
77UEICUniversal Electronics Inc$1.4M0.31%+11,803+3.5%
78COHUCohu Inc$1.4M0.30%+9+0.0%
79PLOWDouglas Dynamics Inc$1.3M0.29%+6+0.0%
80CNOBConnectOne Bancorp$1.3M0.29%+10+0.0%
81BFSTBusiness First Bancshares Inc$1.3M0.28%+9+0.0%
82BWBBridgewater Bancshares$1.3M0.28%+14+0.0%
83MBINMerchants Bancorp$1.2M0.27%+6,817+31.1%
84THFFFirst Financial Corp$1.2M0.26%+4+0.0%
85PENGPenguin Solutions$1.2M0.25%+5,442+8.9%
86BBSIBarrett Business Services Inc$1.1M0.24%+8+0.0%
87GBFHGbank Financial Holdings$1.1M0.23%+11,874+41.9%
88QCRHQCR Holdings Inc$1.1M0.23%-1,515-10.9%
89EBFEnnis Inc$1.0M0.23%+9+0.0%
90CALCaleres Inc$988K0.21%+21,365+29.5%
91WNCWabash National Corp.$967K0.21%+21+0.0%
92GCTGigaCloud Tech Cls A$965K0.21%+4+0.0%
93BHEBenchmark Electronics, Inc$941K0.20%-2,467-12.8%
94DBIDesigner Brands$919K0.20%+31+0.0%
95DAKTDaktronics, Inc$915K0.20%+9+0.0%
96HFWAHeritage Financial$911K0.20%-8,898-20.3%
97HYHyster-Yale Cls A$905K0.20%+7,715+38.3%
98HCKTHackett Group, Inc$879K0.19%+15,152+28.9%
99HDSNHudson Technologies$864K0.19%+28,524+24.1%
100HELEHelen of Troy Corp$827K0.18%+6,844+13.5%
101AEBIAebi Schmidt Holding AG$784K0.17%+15+0.0%
102PLUSEPlus Inc$782K0.17%+2+0.0%
103PRAAPRA Group$770K0.17%+16,241+58.5%
104CUBICustomers Bancorp$761K0.16%-6,384-36.8%
105BCALCalifornia Bancorp$758K0.16%+9+0.0%
106ACCOACCO Brands$754K0.16%+48+0.0%
107OSPNOneSpan Inc$752K0.16%+30,496+74.5%
108CLBCore Laboratories$746K0.16%+8+0.0%
109NPKINPK International$738K0.16%+10+0.0%
110GNLGlobal Net Lease REIT$732K0.16%+15+0.0%
111ULHUniversal Logistics$722K0.16%+6+0.0%
112BANCBanc of California Inc$682K0.15%-37,344-49.1%
113BDNBrandywine Realty Trust$672K0.15%+64,520+35.2%
114CRD/ACrawford & Co Cls A$638K0.14%+14,144+28.4%
115ACICAmerican Coastal Insurance$636K0.14%+56,527NEW
116MTRXMatrix Service Co$625K0.14%+17,097+45.8%
117EPCEdgewell Personal Care$612K0.13%+6+0.0%
118NNBRNN Inc$600K0.13%+13,222+3.3%
119CNXNPC Connection$574K0.12%+2+0.0%
120UCTTUltra Clean Holdings$570K0.12%-26,968-74.6%
121JCAPJefferson Capital$553K0.12%+28,754NEW
122RBBNRibbon Communications Inc$522K0.11%+47+0.0%
123SMPStandard Motor$514K0.11%+3+0.0%
124MNROMonro Muffler Brake Inc$509K0.11%+31,726NEW
125ZUMZZumiez Inc$493K0.11%+5+0.0%
126NCMINational Cinemedia$480K0.10%+32,769+26.3%
127HTLDHeartland Express$426K0.09%+8+0.0%
128CRAICra Intl Inc$407K0.09%+2,512NEW
129SMSISmith Micro Software$374K0.08%+16,271+3.2%
130BLMNBloomin Brands$361K0.08%+13+0.0%
131BHRBBurke Herbert Financial Servic$352K0.08%+5,650NEW
132EPACEnerpac Tool Group$304K0.07%+2+0.0%
133JBIJanus International group$292K0.06%+56,758NEW
134CMCOColumbus McKinnon Corp$291K0.06%+4+0.0%
135TBITrueBlue Inc$291K0.06%+14+0.0%
136ALITAlight Cls A$196K0.04%+109,578+48.4%
137RGPResources Connection$195K0.04%+10+0.0%
138LINCLincoln Education Services-303,558EXITED
139OSSOne Stop Systems-432,361EXITED
140IWNiShares Russell 2000 Value Ind-7,251EXITED
141GPGIComposecure-66,176EXITED
142Abacus Global Management Inc-112,505EXITED
143ICHRIchor Holdings-28,494EXITED
144IWCiShares Russell Microcap Index-2,850EXITED

Source: SEC EDGAR · accession 0001591546-26-000007. 13F discloses long positions only — shorts, foreign equities, and options are excluded.