PARADIGM CAPITAL MANAGEMENT INC/NY - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 12, 2026, for the 2025 Q4 period, PARADIGM CAPITAL MANAGEMENT INC/NY held in its portfolio 116 assets valued at $61,596,488 (i.e. $61.60M).

The most valuable assets in the portfolio included: Broadcom Ltd ($280.00M), Fabrinet ($241.53M), and Modine Manufacturing Co ($197.10M).

The chart below shows the top 10 valuable assets, and the table below shows the top 116 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in PARADIGM CAPITAL MANAGEMENT INC/NY Portfolio
Broadcom Ltd
Fabrinet
Modine Manufacturing Co
Onto Innovation Inc.
Jabil Inc
Extreme Networks
Globus Medical Inc Cl A new
Ducommun Inc
Veeco Instruments
EnerSys
PARADIGM CAPITAL MANAGEMENT INC/NY - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Broadcom Ltd 809000 279994900 COM
Fabrinet 530500 241526040 COM
Modine Manufacturing Co 1476298 197100546 COM
Onto Innovation Inc. 1125838 177724787 COM
Jabil Inc 557900 127212358 COM
Extreme Networks 4972500 82792125 COM
Globus Medical Inc Cl A new 945799 82577711 COM
Ducommun Inc 770500 73297665 COM
Veeco Instruments 2400499 68606261 COM
EnerSys 465800 68356150 COM
Insight Enterprises 810764 66052943 COM
Enviri Corp 3544698 63520988 COM
Ensign Group, Inc. 344099 59942046 COM
Orthofix Medical Inc. 3304899 50102269 COM
Entegris Inc 533700 44964225 COM
Pennant Group Inc. 1412800 39770320 COM
Calix Inc 672400 35590132 COM
Integra Lifesciences Holdings Corp 2664998 33099275 COM
Enovis Corporation 1043798 27806779 COM
Dentsply Sirona, Inc. 2398500 27414855 COM
Ribbon Communications Inc 8323298 23971098 COM
Quidel Corp 828890 23673098 COM
Cerence Inc. 2026392 21662130 COM
Tactile Systems Technology 736599 21361371 COM
Cohu Inc. 914897 21289653 COM
Natera, Inc. 90400 20709736 COM
Penguin Solutions Inc 923400 18061704 COM
MiMedx 2451200 16594624 COM
Kratos Defense & Security Solutions, Inc. 215500 16358605 COM
Ultra Clean Holdings Inc 608200 15405706 COM
MaxLinear, Inc 861000 15007230 COM
EMCOR Group, Inc. 21675 13260548 COM
J Jill Group 914300 12544196 COM
Zumiez, Inc. 478200 12457110 COM
Lumentum Holdings Inc. 33600 12384624 COM
TD SYNNEX Corporation 81274 12209793 COM
Helen of Troy Limited 564200 11989250 COM
Caleres Inc 911599 11094160 COM
SI-Bone, Inc. 528200 10416104 COM
Adtran Inc 1129909 9818909 COM
Teradyne Inc 48650 9416694 COM
Builders Firstsource Inc 85750 8822818 COM
AngioDynamics, Inc. 678200 8708088 COM
Kadant Inc. 29800 8493596 COM
Kulicke & Soffa Industries Inc. 171325 7805567 COM
Federal Signal Corp 70000 7601300 COM
TruBridge, Inc. 339000 7481730 COM
WESCO International, Inc. 30000 7339200 COM
A10 Networks, Inc. 401400 7100766 COM
PTC Inc 40000 6968400 COM
MasterBrand Inc. 582000 6425280 COM
Marvell Technology Inc. 71600 6084568 COM
Johnson & Johnson 27200 5629040 COM
Addus homeCare Corporation 52270 5613275 COM
Carpenter Technology Corp 15600 4911504 COM
Atricure Inc 123100 4869836 COM
Sensient Technologies Corp 51475 4836077 COM
Zurn Water Solutions Corp 102300 4755927 COM
Owens and Minor, Inc. 1686400 4721920 COM
Arlo Technologies, Inc. 336800 4711832 COM
Axcelis Technologies Inc. 56000 4499040 COM
Bath & Body Works, Inc. 200000 4016000 COM
Radnet Inc 54700 3902845 COM
Garmin LTD 19075 3869364 COM
Revvity Inc. 38450 3720038 COM
Concentrix Corp 86342 3590100 COM
Boise Cascade Company 43375 3192400 COM
Mid America Apartment Communities 21615 3002540 COM
TTM Technologies, Inc. 43500 3001500 COM
Amer Eagle Outfitters 84775 2235517 COM
Qorvo Inc. 25880 2187119 COM
Xerox Corp 880000 2085600 COM
ATI Inc. 18000 2065680 COM
Progress Software Corp 45300 1946088 COM
TTEC Holdings Inc 534100 1922760 COM
Pure Storage, Inc. Class A 27000 1809270 COM
MYR Group Inc. 8000 1748000 COM
Regal Rexnord Corporation 12200 1711904 COM
Formfactor Inc 27900 1556262 COM
Masimo Corp 11353 1476571 COM
Colgate-Palmolive 17700 1398654 COM
Azenta Inc 40900 1360334 COM
First Merchants Corporation 32000 1199360 COM
Kforce, Inc. 36800 1137856 COM
GATX Corp 6550 1110880 COM
AVIAT NETWORKS INC COM NEW 47100 1006998 COM
Gen Digital Inc 36000 978840 COM
American Financial Group 6450 881586 COM
Cross Country Healthcare, Inc. 107700 872370 COM
Intl Business Machines 2900 859009 COM
Orthopediatrics Corp 47000 834720 COM
Skyworks Solutions, Inc. 12300 779943 COM
Renasant Corporation 22000 774840 COM
Smurfit Westrock L 18180 703021 COM
Abbott Laboratories 5400 676566 COM
Halozyme Therapeutics, Inc. 10000 673000 COM
Primoris Services Corp 5000 620700 COM
Hillenbrand Inc 18100 574132 COM
Gentherm Inc 15000 545550 COM
Applied Materials 2000 513980 COM
Cigna Corp New 1800 495414 COM
Banner Corp New 6000 375960 COM
Edwards Lifesciences Corporation 4400 375100 COM
Neogen Corporation 52000 363480 COM
Procter & Gamble 2500 358275 COM
National Bank Hldgs Corp Cl A 9000 342090 COM
Nova Measuring Instruments Ltd 1000 328390 COM
Fidelity National Financial 5900 322081 COM
Ziff-Davis Inc 8350 293503 COM
Pfizer, Inc 11400 283860 COM
Bristol-Myers Squibb 5100 275094 COM
NN, Inc. 200000 256000 COM
Treace Medical Concepts, Inc. 100000 245000 COM
PepsiCo Inc 1500 215280 COM
Outset Med Inc 40000 148400 COM
Codexis, Inc. 50000 81500 COM