Evid Invest
Holders — by stockHoldings — by fund

Bridge City Capital, LLC

Everything this manager disclosed owning in US-listed stocks — its complete Form 13F portfolio · as of 2026-06-30 · filed with the SEC up to 45 days after quarter end · CIK 0001713521

$438.1M

disclosed book value

114

positions

3.5%

largest position share

Positions, as of 2026-06-30

top 100 of 114 · 13F covers long US-listed positions only — cash, bonds, private and foreign stakes are not disclosed · PUT/CALL tags = options positions (share-equivalents), not shares held

#IssuerSharesValue% of book
1ONTOOnto Innovation Inc40,798$15.4M3.5%
2KLICKulicke & Soffa Industries Inc99,331$13.3M3%
3VPGVishay Precision Group Inc79,606$11.9M2.7%
4ATENA10 Networks Inc296,239$11.1M2.5%
5DIODDiodes Inc86,531$9.5M2.2%
6CCSCentury Communities Inc131,480$9.4M2.2%
7MODModine Manufacturing Co34,203$9.1M2.1%
8ADUSAddus Homecare Corp85,445$8.6M2%
9GBCIGlacier Bancorp Inc163,059$8.4M1.9%
10LMATLemaitre Vascular Inc86,341$8.3M1.9%
11DORMDorman Prods Inc58,588$8.0M1.8%
12PCRXPacira Biosciences Inc312,297$7.9M1.8%
13ACIWACI Worldwide Inc156,685$7.9M1.8%
14CRAICRA Intl Inc53,810$7.7M1.7%
15HRMYHarmony Biosciences Holdings I209,200$7.6M1.7%
16GMEDGlobus Med Inc94,939$7.5M1.7%
17LSTRLandstar Systems Inc35,867$7.4M1.7%
18OSISOSI Systems Inc33,318$7.3M1.7%
19UCTTUltra Clean Holdings Inc51,065$7.3M1.7%
20SITESiteone Landscape Supply Inc59,835$6.8M1.6%
21AMPHAmphastar Pharmaceuticals Inc338,708$6.8M1.6%
22IRMDIradimed Corp71,043$6.8M1.5%
23PLUSePlus Inc81,014$6.7M1.5%
24LADLithia Motors Inc22,656$6.6M1.5%
25WTTRSelect Water Solutions Inc313,900$6.3M1.4%
26PDFSPDF Solutions Inc76,507$5.4M1.2%
27TGTXTG Therapeutics Inc88,896$4.9M1.1%
28AINAlbany Intl Corp65,050$4.8M1.1%
29Catalyst Pharmaceuticals Inc152,684$4.8M1.1%
30CORTCorcept Therapeutics Inc53,823$4.7M1.1%
31USPHUS Physical Therapy67,890$4.7M1.1%
32RBCRBC Bearings Inc6,922$4.5M1%
33IIINInsteel Industries Inc147,520$4.5M1%
34UFPTUFP Technologies Inc16,794$4.5M1%
35KRYSKrystal Biotech Inc11,816$4.4M1%
36NVECNVE Corp39,954$4.2M1%
37INVXInnovex International Inc162,450$4.0M0.9%
38STRLSterling Infrastructure Inc4,790$4.0M0.9%
39BMIBadger Meter Inc25,694$3.8M0.9%
40DFINDonnelley Financial Solutions89,065$3.7M0.9%
41MDPediatrix Medical Group Inc146,000$3.7M0.8%
42RAMPLiveramp Holdings Inc97,869$3.7M0.8%
43SUPNSupernus Pharmaceuticals78,167$3.6M0.8%
44CGNXCognex Corp49,982$3.6M0.8%
45EVREvercore Inc10,555$3.6M0.8%
46MYRGMYR Group Inc7,066$3.5M0.8%
47HCSGHealthcare Services Group Inc139,852$3.4M0.8%
48WHDCactus Inc66,618$3.4M0.8%
49YETIYeti Holdings Inc68,444$3.4M0.8%
50NHCNational Healthcare Corp15,883$3.4M0.8%
51FFINFirst Financial Bankshares Inc96,503$3.3M0.8%
52LOPEGrand Canyon Ed Inc22,817$3.3M0.7%
53HWKNHawkins Inc22,737$3.2M0.7%
54NSSCNapco Security Technologies In84,131$3.2M0.7%
55ETONEton Pharmaceuticals Inc88,132$3.2M0.7%
56WSBCWesBanco Inc80,448$3.1M0.7%
57ENSGEnsign Group Inc19,543$3.1M0.7%
58UFPIUfp Industries Inc34,440$3.1M0.7%
59PLXSPlexus Corp10,169$3.1M0.7%
60BBSIBarrett Business Services Inc82,731$2.9M0.7%
61OLLIOllies Bargain Outlet Holdings38,114$2.9M0.7%
62CCSIConsensus Cloud Solutions Inc75,479$2.9M0.7%
63TXRHTexas Roadhouse Inc14,793$2.9M0.7%
64FELEFranklin Electric Inc26,011$2.8M0.6%
65ANIPAni Pharmaceuticals Inc33,625$2.8M0.6%
66KWRQuaker Houghton17,192$2.7M0.6%
67AGXArgan Inc3,350$2.7M0.6%
68EXLSExlService Holdings Inc101,542$2.6M0.6%
69MOG/AMoog Inc6,184$2.6M0.6%
70LKFNLakeland Financial Corp41,741$2.6M0.6%
71AWIArmstrong World Industries Inc15,424$2.5M0.6%
72KGSKodiak Gas Services Inc32,730$2.5M0.6%
73VCELVericel Corp53,534$2.4M0.5%
74EXPOExponent Inc40,502$2.4M0.5%
75QLYSQualys Inc17,198$2.4M0.5%
76WINGWingstop Inc13,541$2.3M0.5%
77OMCLOmnicell55,561$2.3M0.5%
78GTYGetty Realty Corp68,754$2.3M0.5%
79PJTPjt Partners Inc14,957$2.3M0.5%
80EPAMEPAM Systems Inc27,957$2.2M0.5%
81JJSFJ & J Snack Foods Corp29,951$2.2M0.5%
82HOPEHope Bancorp Inc160,435$2.2M0.5%
83PNTGPennant Group Inc59,083$2.2M0.5%
84THRMGentherm Inc63,317$2.2M0.5%
85RESRPC Inc364,451$2.1M0.5%
86SNEXStonex Group Inc17,848$2.1M0.5%
87CBZCBIZ Inc63,792$2.0M0.5%
88EVTCEvertec Inc70,323$2.0M0.4%
89WDFCWd 40 Co7,786$1.9M0.4%
90PAYCPaycom Software Inc14,606$1.8M0.4%
91CWTCalifornia Wtr Svc Group37,553$1.8M0.4%
92IDCCInterDigital Inc5,909$1.7M0.4%
93CNMDConmed Corp50,625$1.7M0.4%
94MMSMaximus Inc29,826$1.6M0.4%
95PSIXPower Solutions Intl Inc40,658$1.6M0.4%
96HSTMHealthStream Inc51,765$1.4M0.3%
97LTCLTC Properties Inc36,075$1.4M0.3%
98BCCBoise Cascade Co17,341$1.3M0.3%
99INTTinTEST Corp51,160$929,5770.2%
100PKEPark Aerospace Corp19,098$728,7800.2%

Source: SEC Form 13F-HR, reporting period 2026-06-30. Values are the manager's filed June-30-style quarter-end marks, not live prices. Research, not investment advice.

EvidInvest is an independent research and information tool. Figures are calculated from public SEC filings and third-party market data and are provided for informational and educational purposes only. EvidInvest does not provide investment advice, brokerage, or financial services, and is not affiliated with any company it covers. Verify all figures against primary sources before making any decision.