Universe · entity

ALGERT GLOBAL LLC

Institutional manager (13F) · CIK 1275218
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1M
#IssuerValueShares
1SANDISK CORP$73k115,380
2APPLE INC$45k176,254
3NEXTPOWER INC$41k343,842
4ENERSYS$39k225,306
5NVIDIA CORPORATION$39k221,593
6MASTEC INC$38k118,056
7PRIMORIS SVCS CORP$37k257,265
8MATSON INC$37k222,914
9WOODWARD INC$35k98,558
10PORTLAND GEN ELEC CO$34k652,927
11WATTS WATER TECHNOLOGIES INC$34k116,501
12TAYLOR MORRISON HOME CORP$33k572,307
13MICROSOFT CORP$32k87,235
14BALCHEM CORP$32k187,584
15API GROUP CORP$31k771,658
16LAUREATE ED INC$31k880,208
17DYNATRACE INC$30k814,526
18ALBEMARLE CORP$30k166,318
19MOOG INC$30k101,879
20ANTERO RESOURCES CORP$30k696,642
21ATMUS FILTRATION TECHNOLOGIE$29k514,932
22AMERICAN HEALTHCARE REIT INC$29k614,651
23TD SYNNEX CORPORATION$27k162,361
24STIFEL FINL CORP$27k368,515
25FASTLY INC$27k923,870
26WEBSTER FINL CORP$26k380,022
27AVISTA CORP$26k638,807
28KIRBY CORP$26k192,670
29TUTOR PERINI CORP$25k327,554
30HASBRO INC$25k264,100
31CNX RES CORP$25k636,011
32FABRINET$24k46,823
33TECHNIPFMC PLC$24k349,919
34LEAR CORP$24k198,607
35RALPH LAUREN CORP$24k69,809
36SOLSTICE ADVANCED MATLS INC$24k313,363
37FIRST HORIZON CORPORATION$24k1,037,062
38MUELLER WTR PRODS INC$23k846,515
39CENTURI HOLDINGS INC$23k793,665
40ROIVANT SCIENCES LTD$23k827,454
41AXSOME THERAPEUTICS INC.$23k135,460
42MADISON SQUARE GARDEN ENTMT$23k386,895
43ALARM COM HLDGS INC$23k525,759
44STERLING INFRASTRUCTURE INC$23k55,271
45EXLSERVICE HLDGS INC$22k729,923
46COCA COLA CONS INC$22k114,423
47DOCUSIGN INC$22k461,795
48ALPHABET INC$22k76,037
49SYNDAX PHARMACEUTICALS INC$22k928,568
50ZIONS BANCORPORATION NATL AS$22k375,505
All filings on EDGAR ↗

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