Universe · entity
ALGERT GLOBAL LLC
Institutional manager (13F) · CIK 1275218
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | SANDISK CORP | $73k | 115,380 |
| 2 | APPLE INC | $45k | 176,254 |
| 3 | NEXTPOWER INC | $41k | 343,842 |
| 4 | ENERSYS | $39k | 225,306 |
| 5 | NVIDIA CORPORATION | $39k | 221,593 |
| 6 | MASTEC INC | $38k | 118,056 |
| 7 | PRIMORIS SVCS CORP | $37k | 257,265 |
| 8 | MATSON INC | $37k | 222,914 |
| 9 | WOODWARD INC | $35k | 98,558 |
| 10 | PORTLAND GEN ELEC CO | $34k | 652,927 |
| 11 | WATTS WATER TECHNOLOGIES INC | $34k | 116,501 |
| 12 | TAYLOR MORRISON HOME CORP | $33k | 572,307 |
| 13 | MICROSOFT CORP | $32k | 87,235 |
| 14 | BALCHEM CORP | $32k | 187,584 |
| 15 | API GROUP CORP | $31k | 771,658 |
| 16 | LAUREATE ED INC | $31k | 880,208 |
| 17 | DYNATRACE INC | $30k | 814,526 |
| 18 | ALBEMARLE CORP | $30k | 166,318 |
| 19 | MOOG INC | $30k | 101,879 |
| 20 | ANTERO RESOURCES CORP | $30k | 696,642 |
| 21 | ATMUS FILTRATION TECHNOLOGIE | $29k | 514,932 |
| 22 | AMERICAN HEALTHCARE REIT INC | $29k | 614,651 |
| 23 | TD SYNNEX CORPORATION | $27k | 162,361 |
| 24 | STIFEL FINL CORP | $27k | 368,515 |
| 25 | FASTLY INC | $27k | 923,870 |
| 26 | WEBSTER FINL CORP | $26k | 380,022 |
| 27 | AVISTA CORP | $26k | 638,807 |
| 28 | KIRBY CORP | $26k | 192,670 |
| 29 | TUTOR PERINI CORP | $25k | 327,554 |
| 30 | HASBRO INC | $25k | 264,100 |
| 31 | CNX RES CORP | $25k | 636,011 |
| 32 | FABRINET | $24k | 46,823 |
| 33 | TECHNIPFMC PLC | $24k | 349,919 |
| 34 | LEAR CORP | $24k | 198,607 |
| 35 | RALPH LAUREN CORP | $24k | 69,809 |
| 36 | SOLSTICE ADVANCED MATLS INC | $24k | 313,363 |
| 37 | FIRST HORIZON CORPORATION | $24k | 1,037,062 |
| 38 | MUELLER WTR PRODS INC | $23k | 846,515 |
| 39 | CENTURI HOLDINGS INC | $23k | 793,665 |
| 40 | ROIVANT SCIENCES LTD | $23k | 827,454 |
| 41 | AXSOME THERAPEUTICS INC. | $23k | 135,460 |
| 42 | MADISON SQUARE GARDEN ENTMT | $23k | 386,895 |
| 43 | ALARM COM HLDGS INC | $23k | 525,759 |
| 44 | STERLING INFRASTRUCTURE INC | $23k | 55,271 |
| 45 | EXLSERVICE HLDGS INC | $22k | 729,923 |
| 46 | COCA COLA CONS INC | $22k | 114,423 |
| 47 | DOCUSIGN INC | $22k | 461,795 |
| 48 | ALPHABET INC | $22k | 76,037 |
| 49 | SYNDAX PHARMACEUTICALS INC | $22k | 928,568 |
| 50 | ZIONS BANCORPORATION NATL AS | $22k | 375,505 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.