Universe · entity

Jackson Creek Investment Advisors LLC

Institutional manager (13F) · CIK 1831003
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $107k
#IssuerValueShares
1Technipfmc PLC$3k45,672
2Argan Inc$3k5,664
3Jabil Inc$3k10,794
4Cirrus Logic Inc$3k18,183
5California Resources Corp Stoc$3k36,498
6Amkor Technology Inc$3k55,544
7Patterson-UTI Energy Inc$2k228,182
8DHT Holdings Inc New$2k130,946
9Huntington Ingalls Industries$2k6,178
10Pediatrix Medical Group Inc$2k104,933
11MYR Group Inc$2k7,901
12Mastec Inc$2k6,911
13Northern Oil & Gas Inc$2k75,795
14Virtu Financial Inc Cl A$2k50,219
15Nextpower Inc Class A$2k18,313
16Element Solutions Inc$2k64,116
17Kennametal Inc$2k60,577
18Viavi Solutions Inc$2k64,907
19Phibro Animal Health Corp Cl A$2k38,486
20Indivior Pharmaceuticals Inc$2k69,550
21Zurn Elkay Water Solutions Cor$2k47,127
22Roku Inc Cl A$2k22,020
23Alcoa Corp$2k31,251
24National Vision Holdings Inc$2k79,894
25Caretrust REIT Inc$2k56,400
26Astec Industries Inc$2k38,285
27QuinStreet Inc$2k171,408
28GATX Corp$2k11,987
29Laureate Ed Inc Common Stock$2k58,607
30Primoris Services Corp$2k14,082
31Sabra Health Care REIT Inc$2k103,224
32EZCORP Inc Cl A Non Vtg$2k77,451
33Jackson Financial Inc Cl A$2k18,487
34OSI Systems Inc$2k7,342
35Portland Gen Elec Co New$2k36,839
36Commercial Metals Co$2k31,579
37Gigacloud Technology Inc Class$2k42,473
38Interface Inc$2k77,244
39Theravance Biopharma Inc$2k118,560
40Globus Med Inc Cl A$2k22,321
41One Gas Inc$2k22,278
42Catalyst Pharmaceuticals Inc$2k77,304
43Rush Street Interactive Inc$2k87,851
44Plexus Corp$2k9,425
45Deluxe Corp MTN$2k69,176
46Nicolet Bankshares Inc$2k12,817
47V2x Inc$2k27,798
48HCI Group Inc$2k12,278
49QCR Holdings Inc$2k22,173
50Everquote Inc Cl A$2k121,837
All filings on EDGAR ↗

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