Universe · entity

PARADIGM CAPITAL MANAGEMENT INC/NY

Institutional manager (13F) · CIK 1037792
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2.5B
#IssuerValueShares
1Modine Manufacturing Co$315M1,455,598
2Fabrinet$277M530,500
3Broadcom Ltd$250M809,000
4Onto Innovation Inc.$226M1,102,438
5Jabil Inc$146M547,900
6Ducommun Inc$94M770,500
7Extreme Networks$79M5,234,900
8EnerSys$77M441,900
9Veeco Instruments$74M2,171,399
10Globus Medical Inc Cl A new$71M822,299
11Ensign Group, Inc.$69M342,099
12Insight Enterprises$64M955,933
13Entegris Inc$61M523,700
14Enviri Corp$44M2,232,298
15Pennant Group Inc.$43M1,408,800
16Enovis Corporation$40M1,776,715
17Orthofix Medical Inc.$38M3,304,899
18Ultra Clean Holdings Inc$38M608,200
19Integra Lifesciences Holdings Corp$38M4,012,698
20Calix Inc$38M768,200
21Dentsply Sirona, Inc.$35M2,977,200
22Penguin Solutions Inc$28M1,605,100
23Quidel Corp$25M1,525,900
24Lumentum Holdings Inc.$24M33,600
25Cohu Inc.$19M623,852
26Natera, Inc.$18M90,400
27Ribbon Communications Inc$17M8,036,335
28Cerence Inc.$16M2,507,276
29Kratos Defense & Security Solutions, Inc.$15M215,500
30EMCOR Group, Inc.$15M20,475
31MaxLinear, Inc$15M861,000
32Teradyne Inc$14M48,650
33SI-Bone, Inc.$14M1,126,500
34MiMedx$13M3,410,300
35Helen of Troy Limited$13M927,100
36TD SYNNEX Corporation$12M69,274
37Kulicke & Soffa Industries Inc.$11M171,325
38J Jill Group$10M914,300
39Caleres Inc$10M911,599
40A10 Networks, Inc.$9M401,400
41Adtran Inc$9M733,200
42MasterBrand Inc.$9M1,082,091
43Bath & Body Works, Inc.$9M481,100
44Kadant Inc.$9M29,800
45Zumiez, Inc.$8M372,660
46WESCO International, Inc.$8M30,000
47AngioDynamics, Inc.$8M718,200
48Federal Signal Corp$8M70,000
49Marvell Technology Inc.$7M71,600
50Builders Firstsource Inc$7M85,750
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.