Bridge City Capital, LLC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 13, 2026, for the 2025 Q4 period, Bridge City Capital, LLC held in its portfolio 108 assets valued at $340,247,237 (i.e. $340.25M).

The most valuable assets in the portfolio included: Ensign Group Inc ($10.50M), Harmony Biosciences Holdings I ($8.87M), and Sterling Infrastructure Inc ($8.01M).

The chart below shows the top 10 valuable assets, and the table below shows the top 108 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Bridge City Capital, LLC Portfolio
Ensign Group Inc
Harmony Biosciences Holdings I
Sterling Infrastructure Inc
RBC Bearings Inc
Pacira Biosciences Inc
Globus Med Inc
Iradimed Corp
Glacier Bancorp Inc
A10 Networks Inc
Onto Innovation Inc
Bridge City Capital, LLC - Stock Holdings in 13F Filings (SEC)
Items per page:
0 of 0
Name of Issuer No. of Shares Value ($) Class
Ensign Group Inc 60279 10500602 COM
Harmony Biosciences Holdings I 237103 8872394 COM
Sterling Infrastructure Inc 26170 8014039 COM
RBC Bearings Inc 17337 7774431 COM
Pacira Biosciences Inc 285493 7388559 COM
Globus Med Inc 84082 7341199 COM
Iradimed Corp 70854 6892677 COM
Glacier Bancorp Inc 155077 6831142 COM
A10 Networks Inc 379342 6710560 COM
Onto Innovation Inc 42405 6694053 COM
Amphastar Pharmaceuticals Inc 235485 6306288 COM
EPAM Systems Inc 30756 6301289 COM
Lithia Motors Inc 18928 6290342 COM
ExlService Holdings Inc 147632 6265502 COM
Macom Tech Solutions Holdings 36155 6192628 COM
Diodes Inc 116332 5739821 COM
Modine Manufacturing Co 42469 5670036 COM
ePlus Inc 64078 5619641 COM
Badger Meter Inc 31493 5492694 COM
ACI Worldwide Inc 114330 5466117 COM
Dorman Prods Inc 43949 5414077 COM
OSI Systems Inc 21221 5412628 COM
Lemaitre Vascular Inc 66623 5403125 COM
Century Communities Inc 79131 4696425 COM
CBIZ Inc 90689 4575260 COM
CRA Intl Inc 21235 4261758 COM
Credo Technology Group Holding 29278 4212811 COM
US Physical Therapy 52850 4127057 COM
Kulicke & Soffa Industries Inc 82928 3778200 COM
UFP Technologies Inc 16923 3757414 COM
Innovex International Inc 169540 3707840 COM
Evercore Inc 10832 3685588 COM
Catalyst Pharmaceuticals Inc 156683 3656981 COM
Select Water Solutions Inc 328234 3453022 COM
Ollies Bargain Outlet Holdings 30696 3364589 COM
Addus Homecare Corp 31139 3344017 COM
Siteone Landscape Supply Inc 26803 3338582 COM
Landstar Systems Inc 23097 3319039 COM
Albany Intl Corp 65241 3307719 COM
Ufp Industries Inc 35408 3223898 COM
Pediatrix Medical Group Inc 149948 3207388 COM
Supernus Pharmaceuticals Inc 63801 3170910 COM
Gentherm Inc 86544 3147605 COM
Cactus Inc 68334 3121497 COM
Yeti Holdings Inc 70409 3109966 COM
Fabrinet 6798 3094993 COM
Vishay Precision Group Inc 79887 3075650 COM
Insteel Industries Inc 95978 3039623 COM
Krystal Biotech Inc 12135 2991763 COM
First Financial Bankshares Inc 99153 2961700 COM
PDF Solutions Inc 102324 2919304 COM
Exponent Inc 41435 2878075 COM
WesBanco Inc 82700 2748948 COM
Healthcare Services Group Inc 143381 2741445 COM
Donnelley Financial Solutions 57333 2676878 COM
Omnicell 56968 2580650 COM
Franklin Electric Inc 26718 2552371 COM
Barrett Business Services Inc 69982 2534048 COM
Texas Roadhouse Inc 15199 2523034 COM
NVE Corp 41917 2486936 COM
Napco Security Technologies In 59438 2478565 COM
La-Z-Boy Inc 65172 2428960 COM
Quaker Houghton 17646 2422972 COM
Qualys Inc 17673 2348742 COM
Rogers Corp 24557 2248684 COM
Plexus Corp 15228 2238516 COM
National Healthcare Corp 16321 2237446 COM
Grand Canyon Ed Inc 13160 2188640 COM
SPS Communications Inc 24072 2145537 COM
American Eagle Outfitters Inc 80080 2111710 COM
Evertec Inc 72220 2100880 COM
J & J Snack Foods Corp 23180 2094777 COM
Ultra Clean Holdings Inc 81117 2054694 COM
Getty Realty Corp 70624 1932979 COM
Maximus Inc 22002 1899213 COM
Cognex Corp 51294 1845558 COM
Hope Bancorp Inc 164483 1802734 COM
Liveramp Holdings Inc 60766 1784697 COM
Hawkins Inc 12354 1755009 COM
Lakeland Financial Corp 30742 1754139 COM
Photronics Inc 54389 1740448 COM
Consensus Cloud Solutions Inc 78827 1720005 COM
Blackline Inc 30996 1713769 COM
California Wtr Svc Group 38576 1671498 COM
Wd 40 Co 8004 1575988 COM
Pjt Partners Inc 8717 1457482 COM
Conmed Corp 35509 1441665 COM
Boise Cascade Co 17836 1312730 COM
RPC Inc 235512 1281185 COM
LTC Properties Inc 37001 1272094 COM
HealthStream Inc 54305 1252816 COM
Shake Shack Inc 14638 1188166 COM
Corcept Therapeutics Inc 29535 1027818 COM
Park Aerospace Corp 36719 783583 COM
Bankwell Financial Group Inc 10581 484821 COM
iShares 1434 463196 COM
inTEST Corp 59286 442866 COM
Bank of Marin Bancorp 16422 427136 COM
Electromed Inc 13786 401448 COM
Investors Title Co NC 1548 386443 COM
Utah Med Prods Inc 6884 385229 COM
Onespan Inc 28579 366954 COM
Eton Pharmaceuticals Inc 18600 314526 COM
Liquidity Services Inc 9221 279489 COM
Pennant Group Inc 9871 277869 COM
Matrix Service Co 21979 257154 COM
Franklin Covey Co 15080 253042 COM
Joint Corp 25979 226537 COM