Universe · entity

Legato Capital Management LLC

Institutional manager (13F) · CIK 1442641
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $350M
#IssuerValueShares
1ARGAN INC$18M33,117
2APPLE INC$15M59,228
3BROADCOM INC$15M48,436
4NVIDIA CORP$14M78,859
5STONEX GROUP INC$14M168,304
6IES HOLDINGS INC$13M27,456
7VSE CORP$11M61,728
8ALPHABET INC CLASS A$9M32,804
9STERLING CONSTRUCTION CO$9M21,702
10BGC GROUP INC CL A$8M844,728
11AMAZON.COM INC$8M38,636
12TRIUMPH BANCORP INC$8M132,714
13MICROSOFT CORP$8M21,109
14MODINE MANUFACTURING CO$8M35,224
15KRATOS DEFENSE & SECURITY SOLU$7M104,195
16LSI INDS INC$7M392,912
17EPLUS INC$7M94,401
18LINCOLN EDUCATIONAL SERVICES$7M173,558
19UFP TECHNOLOGIES INC$7M35,721
20NETFLIX COM INC$7M70,277
21INSMED INC$6M39,554
22WINMARK CORP$6M14,915
23ANALOG DEVICES INC$6M19,765
24BWX TECHNOLOGIES INC$6M30,539
25AGILYSYS INC$6M85,875
26TESLA MOTORS INC.$6M16,357
27NB BANCORP INC$6M276,070
28I3 VERTICALS INC$6M247,394
29ADVANCED ENERGY INDS INC$5M16,920
30DAILY JOURNAL CORP$5M10,679
31CONSOLIDATED WATER CO LTD SHS$5M150,335
32BRISTOL MYERS SQUIBB CO$5M80,970
33QUALCOMM INC$5M37,663
34FABRINET$5M9,297
35CARPENTER TECHNOLOGY$5M12,252
36COSTCO WHOLESALE CORP$5M4,799
37REGENERON PHARMACEUTICALS INC$5M6,004
38OIL DRI CORP OF AMERICA$5M70,512
39MERCADOLIBRE INC$5M2,650
40JPMORGAN CHASE & CO$5M15,565
41CISCO SYSTEMS INC$5M58,354
42ROSS STORES INC$5M20,900
43LIGAND PHARMACEUTICALS INC$4M22,378
44ORACLE CORP$4M29,634
45VERIZON COMMUNICATIONS INC$4M85,821
46CITIGROUP INC$4M37,979
47BRIDGEBIO PHARMA INC$4M56,326
48OMNICOM GROUP$4M55,205
49SPOTIFY TECHNOLOGY SA$4M8,500
50CLIMB GLOBAL SOLUTIONS INC$4M207,864
All filings on EDGAR ↗

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