Universe · entity
Jackson Creek Investment Advisors LLC
Institutional manager (13F) · CIK 1831003
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $107k
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Technipfmc PLC | $3k | 45,672 |
| 2 | Argan Inc | $3k | 5,664 |
| 3 | Jabil Inc | $3k | 10,794 |
| 4 | Cirrus Logic Inc | $3k | 18,183 |
| 5 | California Resources Corp Stoc | $3k | 36,498 |
| 6 | Amkor Technology Inc | $3k | 55,544 |
| 7 | Patterson-UTI Energy Inc | $2k | 228,182 |
| 8 | DHT Holdings Inc New | $2k | 130,946 |
| 9 | Huntington Ingalls Industries | $2k | 6,178 |
| 10 | Pediatrix Medical Group Inc | $2k | 104,933 |
| 11 | MYR Group Inc | $2k | 7,901 |
| 12 | Mastec Inc | $2k | 6,911 |
| 13 | Northern Oil & Gas Inc | $2k | 75,795 |
| 14 | Virtu Financial Inc Cl A | $2k | 50,219 |
| 15 | Nextpower Inc Class A | $2k | 18,313 |
| 16 | Element Solutions Inc | $2k | 64,116 |
| 17 | Kennametal Inc | $2k | 60,577 |
| 18 | Viavi Solutions Inc | $2k | 64,907 |
| 19 | Phibro Animal Health Corp Cl A | $2k | 38,486 |
| 20 | Indivior Pharmaceuticals Inc | $2k | 69,550 |
| 21 | Zurn Elkay Water Solutions Cor | $2k | 47,127 |
| 22 | Roku Inc Cl A | $2k | 22,020 |
| 23 | Alcoa Corp | $2k | 31,251 |
| 24 | National Vision Holdings Inc | $2k | 79,894 |
| 25 | Caretrust REIT Inc | $2k | 56,400 |
| 26 | Astec Industries Inc | $2k | 38,285 |
| 27 | QuinStreet Inc | $2k | 171,408 |
| 28 | GATX Corp | $2k | 11,987 |
| 29 | Laureate Ed Inc Common Stock | $2k | 58,607 |
| 30 | Primoris Services Corp | $2k | 14,082 |
| 31 | Sabra Health Care REIT Inc | $2k | 103,224 |
| 32 | EZCORP Inc Cl A Non Vtg | $2k | 77,451 |
| 33 | Jackson Financial Inc Cl A | $2k | 18,487 |
| 34 | OSI Systems Inc | $2k | 7,342 |
| 35 | Portland Gen Elec Co New | $2k | 36,839 |
| 36 | Commercial Metals Co | $2k | 31,579 |
| 37 | Gigacloud Technology Inc Class | $2k | 42,473 |
| 38 | Interface Inc | $2k | 77,244 |
| 39 | Theravance Biopharma Inc | $2k | 118,560 |
| 40 | Globus Med Inc Cl A | $2k | 22,321 |
| 41 | One Gas Inc | $2k | 22,278 |
| 42 | Catalyst Pharmaceuticals Inc | $2k | 77,304 |
| 43 | Rush Street Interactive Inc | $2k | 87,851 |
| 44 | Plexus Corp | $2k | 9,425 |
| 45 | Deluxe Corp MTN | $2k | 69,176 |
| 46 | Nicolet Bankshares Inc | $2k | 12,817 |
| 47 | V2x Inc | $2k | 27,798 |
| 48 | HCI Group Inc | $2k | 12,278 |
| 49 | QCR Holdings Inc | $2k | 22,173 |
| 50 | Everquote Inc Cl A | $2k | 121,837 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.