Universe · entity
Bridge City Capital, LLC
Institutional manager (13F) · CIK 1713521
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $266M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Ensign Group Inc | $12M | 59,139 |
| 2 | Sterling Infrastructure Inc | $11M | 27,881 |
| 3 | RBC Bearings Inc | $10M | 18,210 |
| 4 | A10 Networks Inc | $9M | 400,683 |
| 5 | Onto Innovation Inc | $9M | 45,140 |
| 6 | Pacira Biosciences Inc | $9M | 402,765 |
| 7 | Diodes Inc | $8M | 117,734 |
| 8 | Lemaitre Vascular Inc | $8M | 70,390 |
| 9 | Modine Manufacturing Co | $8M | 34,638 |
| 10 | Glacier Bancorp Inc | $7M | 165,163 |
| 11 | Addus Homecare Corp | $7M | 76,914 |
| 12 | Iradimed Corp | $7M | 72,573 |
| 13 | Amphastar Pharmaceuticals Inc | $7M | 335,105 |
| 14 | Macom Tech Solutions Holdings | $6M | 28,404 |
| 15 | Kulicke & Soffa Industries Inc | $6M | 94,284 |
| 16 | Badger Meter Inc | $6M | 39,554 |
| 17 | OSI Systems Inc | $6M | 22,582 |
| 18 | Century Communities Inc | $6M | 100,398 |
| 19 | Globus Med Inc | $6M | 66,252 |
| 20 | ACI Worldwide Inc | $6M | 138,419 |
| 21 | Siteone Landscape Supply Inc | $6M | 41,668 |
| 22 | CRA Intl Inc | $5M | 33,811 |
| 23 | ePlus Inc | $5M | 68,323 |
| 24 | Ultra Clean Holdings Inc | $5M | 81,226 |
| 25 | Lithia Motors Inc | $5M | 20,169 |
| 26 | Select Water Solutions Inc | $5M | 323,422 |
| 27 | Dorman Prods Inc | $5M | 46,847 |
| 28 | Innovex International Inc | $4M | 167,183 |
| 29 | US Physical Therapy | $4M | 53,161 |
| 30 | Catalyst Pharmaceuticals Inc | $4M | 155,689 |
| 31 | UFP Technologies Inc | $4M | 19,758 |
| 32 | Landstar Systems Inc | $4M | 23,518 |
| 33 | Fabrinet | $4M | 6,748 |
| 34 | Albany Intl Corp | $3M | 66,325 |
| 35 | PDF Solutions Inc | $3M | 100,771 |
| 36 | Supernus Pharmaceuticals | $3M | 62,923 |
| 37 | Ufp Industries Inc | $3M | 35,116 |
| 38 | Donnelley Financial Solutions | $3M | 68,461 |
| 39 | Cactus Inc | $3M | 67,929 |
| 40 | Evercore Inc | $3M | 10,763 |
| 41 | Pediatrix Medical Group Inc | $3M | 148,868 |
| 42 | Insteel Industries Inc | $3M | 94,613 |
| 43 | ExlService Holdings Inc | $3M | 103,535 |
| 44 | Krystal Biotech Inc | $3M | 12,045 |
| 45 | TG Therapeutics Inc | $3M | 90,634 |
| 46 | Grand Canyon Ed Inc | $3M | 17,591 |
| 47 | EPAM Systems Inc | $3M | 21,594 |
| 48 | First Financial Bankshares Inc | $3M | 98,396 |
| 49 | WesBanco Inc | $3M | 82,030 |
| 50 | Ollies Bargain Outlet Holdings | $3M | 30,494 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.