WEDGE CAPITAL MANAGEMENT L L P/NC Q4 2025 Filing

Filed January 14, 2026

Portfolio Value

$5.6B

Holdings

511

Report Date

Q4 2025

Filing Type

13F-HR

All Holdings (511 positions)

StockValue
NTRSNorthern Trust Corp
$2.7M
MDPediatrix Medical Group Inc
$2.7M
PBIPitney Bowes Inc
$2.7M
MTGMGIC Inv Corp WI
$2.6M
BPOPPopular Inc
$2.6M
CDPCorporate Office Properties Tr
$2.6M
WF2Wintrust Financial Corp
$2.6M
PLABPhotronics Inc
$2.6M
MHKMohawk Industries Inc
$2.6M
KEKimball Electronics Inc
$2.6M
GABCGerman American Bancorp Inc
$2.6M
FGF&G Annuities & Life Inc
$2.5M
CUBICustomers Bancorp Inc
$2.5M
SFStifel Financial Corp
$2.5M
CBOECboe Global Markets Inc
$2.5M
ESNTEssent Group Ltd
$2.5M
UMHUmh Properties Inc
$2.5M
PLUSePlus Inc
$2.4M
CSGSCSG Systems Intl Inc
$2.4M
OCFCOceanFirst Financial Corp
$2.4M
MGRCMcGrath RentCorp Com
$2.4M
CNRCore Natural Resources Inc
$2.4M
JXC1Ziff Davis Inc Com
$2.4M
ICFIICF International Inc
$2.3M
CLWClearwater Paper Corp
$2.3M
NSZNetScout Systems Inc
$2.3M
CBSHCommerce Bancshares Inc
$2.3M
HWCHancock Whitney Corp
$2.3M
MTHMeritage Homes Corp
$2.3M
PLOWDouglas Dynamics Inc
$2.2M
BDCBelden Inc
$2.2M
BLBDBlue Bird Corp
$2.2M
ATENA10 Networks Inc
$2.1M
AZZAZZ Inc
$2.1M
DLXDeluxe Corp
$2.1M
HRIHerc Holdings Inc
$2.1M
SMGScotts Miracle-Gro Co Cl A
$2.1M
YETIYeti Holdings Inc
$2.1M
RYTMRhythm Pharmaceuticals Inc
$2.1M
NTSTNetstreit Corp
$2.1M
AMGAffiliated Managers Group
$2.0M
IIPRInnovative Industrial Properti
$2.0M
GIIIG III Apparel Group Ltd
$2.0M
TN1Tennant Co
$2.0M
AVGOBroadcom Inc
$2.0M
LYTSLsi Industries Inc
$2.0M
NWNNorthwest Nat Holding Co
$2.0M
UNFIUnited Natural Foods Inc
$2.0M
CMPRCimpress PLC Euro
$2.0M
EYENational Vision Holdings Inc
$2.0M
EBFEnnis Inc
$1.9M
WSFSWSFS Financial Corp
$1.9M
CNNECannae Holdings Inc
$1.9M
MTUSMetallus Inc
$1.9M
SAMBoston Beer Inc
$1.9M
ABMABM Industries Inc
$1.9M
AM6Amicus Therapeutics Inc
$1.8M
HIWHighwoods Properties Inc
$1.8M
OLNOlin Corp
$1.8M
UTLUnitil Corp
$1.8M
CBRLCracker Barrel Old Country Sto
$1.8M
ETDEthan Allen Interiors Inc
$1.7M
LINDLindblad Expeditions Holdings
$1.7M
EPREPR Properties
$1.7M
HOMBHome Bancshares Inc
$1.7M
DIODDiodes Inc
$1.7M
QDELQuidel Corp
$1.7M
CXWCorecivic Inc
$1.7M
AVNTAvient Corporation
$1.7M
UTIUniversal Technical Inst Inc
$1.7M
CACCCredit Acceptance Corp
$1.6M
GEFGreif Inc
$1.6M
DINOHF Sinclair Corporation Com
$1.6M
CALMCal-Maine Foods Inc
$1.6M
PNFPPinnacle Financial Partners In
$1.6M
STRAStrategic Ed Inc
$1.5M
MGYMagnolia Oil & Gas Corp Cl A
$1.5M
WSWorthington Stl Inc
$1.5M
IOSPInnospec Inc
$1.5M
MTXMinerals Technologies Inc
$1.5M
SLVMSylvamo Corp Common Stock
$1.5M
OIIOceaneering Intl Inc
$1.5M
COLMColumbia Sportswear Co
$1.5M
HGHamilton Insurance Group Ltd C
$1.4M
BFHBread Financial Holdings Inc C
$1.4M
FBPFirst Bancorp PR
$1.4M
TSLATesla Inc
$1.4M
ROCKGibraltar Industries Inc
$1.4M
TILEInterface Inc
$1.4M
RYIRyerson Holding Corp
$1.4M
CBNKCapital Bancorp Inc MD Com
$1.4M
RALRalliant Corp
$1.4M
51AAmerican Public Education Inc
$1.4M
BSFAANI Pharmaceuticals Inc
$1.3M
VCTRVictory Cap Holdings Inc Cl A
$1.3M
ENOVEnovis Corp
$1.3M
PUMPPropetro Holding Corp
$1.3M
FHIFederated Hermes Inc Cl B
$1.3M
DFINDonnelley Financial Solutions
$1.3M
FIHLFidelis Insurance Holdings Ltd
$1.3M
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