Titelia

Holdings of Bridge City Capital, LLC

105 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 25.9 % of the equity sleeve

Sector breakdown

  • Industrials 3.2 %
  • Unattributed 96.8 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 100.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US105352.5M $100.00 %

Positions

RankCompanySharesValueWeight
1Ensign Group Inc/The 59,13911.9M $
2Sterling Infrastructure Inc 27,88111.4M $
3RBC Bearings Inc 18,2109.9M $
4A10 Networks Inc 400,6839.3M $
5Onto Innovation Inc 45,1409.3M $
6Pacira BioSciences Inc 402,7659.1M $
7Diodes Inc 117,7348M $
8LeMaitre Vascular Inc 70,3907.7M $
9Modine Manufacturing Co 34,6387.5M $
10Glacier Bancorp Inc 165,1637.4M $
11Addus HomeCare Corp 76,9147.2M $
12iRadimed Corp 72,5737M $
13Amphastar Pharmaceuticals Inc 335,1056.6M $
14MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 28,4046.3M $
15Kulicke & Soffa Industries Inc 94,2846.2M $
16Badger Meter Inc 39,5546M $
17OSI Systems Inc 22,5826M $
18Century Communities Inc 100,3985.8M $
19Globus Medical Inc 66,2525.7M $
20ACI Worldwide Inc 138,4195.7M $
21SiteOne Landscape Supply Inc 41,6685.5M $
22CRA International Inc 33,8115.5M $
23ePlus Inc 68,3235.1M $
24Ultra Clean Holdings Inc 81,2265.1M $
25Lithia Motors Inc 20,1695M $
26Select Water Solutions Inc 323,4224.9M $
27Dorman Products Inc 46,8474.9M $
28Innovex International Inc 167,1834.1M $
29US Physical Therapy Inc 53,1614M $
30Catalyst Pharmaceuticals Inc 155,6893.9M $
31UFP Technologies Inc 19,7583.8M $
32Landstar System Inc 23,5183.8M $
33Albany International Corp 66,3253.5M $
34PDF Solutions Inc 100,7713.3M $
35Supernus Pharmaceuticals Inc 62,9233.3M $
36UFP Industries Inc 35,1163.2M $
37Donnelley Financial Solutions Inc 68,4613.2M $
38Cactus Inc 67,9293.2M $
39Evercore Inc 10,7633.2M $
40Pediatrix Medical Group Inc 148,8683.2M $
41Insteel Industries Inc 94,6133.2M $
42ExlService Holdings Inc 103,5353.2M $
43Krystal Biotech Inc 12,0453.1M $
44TG Therapeutics Inc 90,6343M $
45Grand Canyon Education Inc 17,5913M $
46EPAM Systems Inc 21,5942.9M $
47First Financial Bankshares Inc 98,3962.9M $
48WesBanco Inc 82,0302.8M $
49Ollie's Bargain Outlet Holdings Inc 30,4942.8M $
50NVE Corp 41,2452.7M $
51Exponent Inc 41,2922.7M $
52Hawkins Inc 17,5202.7M $
53LiveRamp Holdings Inc 99,7842.6M $
54Healthcare Services Group Inc 142,6052.6M $
55National HealthCare Corp 16,1942.6M $
56YETI Holdings Inc 69,7842.6M $
57Vishay Precision Group Inc 57,7402.5M $
58Cognex Corp 50,9632.5M $
59Texas Roadhouse Inc 15,0852.5M $
60Franklin Electric Co Inc 26,5212.4M $
61J & J Snack Foods Corp 30,5382.4M $
62Barrett Business Services Inc 82,9512.4M $
63Napco Security Technologies Inc 58,6102.3M $
64Getty Realty Corp 70,1072.2M $
65Corcept Therapeutics Inc 54,8742.2M $
66Quaker Chemical Corp 17,5312.2M $
67Plexus Corp 10,3672.1M $
68La-Z-Boy Inc 64,7192.1M $
69MYR Group Inc 7,2042M $
70Power Solutions International Inc 32,7932M $
71Maximus Inc 30,4071.9M $
72Omnicell Inc 56,6631.9M $
73Pennant Group Inc/The 60,9081.9M $
74Consensus Cloud Solutions Inc 77,8101.8M $
75Hope Bancorp Inc 163,5931.8M $
76CONMED Corp 51,6171.8M $
77Gentherm Inc 65,0011.8M $
78Vericel Corp 54,5751.8M $
79Lakeland Financial Corp 30,5201.8M $
80CBIZ Inc 65,0421.7M $
81Armstrong World Industries Inc 10,5851.7M $
82California Water Service Group 38,2921.7M $
83RPC Inc 233,9071.7M $
84WD-40 Co 7,9401.6M $
85Qualys Inc 17,5371.5M $
86LTC Properties Inc 36,7851.4M $
87Boise Cascade Co 17,6811.3M $
88Shake Shack Inc 14,5281.3M $
89PJT Partners Inc 8,6481.2M $
90BlackLine Inc 30,7991.1M $
91HealthStream Inc 53,4491.1M $
92Park Aerospace Corp 30,309829.9K $
93inTEST Corp 56,068765.3K $
94Eton Pharmaceuticals Inc 21,150522K $
95Bankwell Financial Group Inc 10,006485.5K $
96Utah Medical Products Inc 7,291452K $
97Bank of Marin Bancorp 15,530398K $
98Matrix Service Co 31,000355.9K $
99Investors Title Co 1,464318.2K $
100Electromed Inc 13,038305.2K $