BullishAgent BullishAgent Filings Market Economic Earnings Ratings Gaps IPOs ETFs Insiders Institutional Funds Screener
Sign in Register

YORKTOWN SMALL CAP FUND

American Pension Investors Trust

Assets: $26M Net: $26M Series: S000053763 EDGAR ↗
+44
New
-39
Exited
127
Positions
Period:
vs
Compare:
← All Funds
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Robinhood Markets Inc 770700102 Jul 2024 15,900 -2,000 $781K +112.1% 3.03% EC
2 LPL Financial Holdings Inc. 50212V100 Jul 2024 2,300 -400 $736K +23.0% 2.85% EC
3 BJ Wholesale Club Holdings Inc 05550J101 Jul 2024 5,740 -4,260 $675K -23.3% 2.62% EC
4 N/A N/A Jul 2024 626,236 -73,575 $626K -10.5% 2.43% STIV
5 Duolingo Inc 26603R106 Apr 2025 1,400 New $545K 2.11% EC
6 Freedom Holding Corp 356390104 Jul 2024 3,700 $528K +69.7% 2.05% EC
7 Lantheus Holdings Inc 516544103 Jul 2024 4,800 +2,350 $501K +95.0% 1.94% EC
8 Catalyst Pharmaceuticals Inc. 14888U101 Jul 2024 20,250 $492K +40.9% 1.91% EC
9 Pilgrims Pride Corporation 72147K108 Jul 2024 9,000 $491K +32.4% 1.90% EC
10 Goosehead Insurance Inc 38267D109 Jul 2024 5,050 $491K +7.7% 1.90% EC
11 Mueller Industries Inc. 624756102 Jul 2024 6,650 -5,040 $489K -41.0% 1.90% EC
12 Axon Enterprise Inc 05464C101 Jul 2024 775 $475K +104.4% 1.84% EC
13 Matson Inc 57686G105 Jul 2024 4,130 $451K -17.8% 1.75% EC
14 Insmed Inc 457669307 Jul 2024 5,850 -5,120 $421K -47.2% 1.63% EC
15 CSW Industrials Inc. 126402106 Jul 2024 1,300 $406K -3.7% 1.58% EC
16 Chefs Warehouse Inc. 163086101 Jul 2024 7,050 $402K +37.0% 1.56% EC
17 Cavco Industries 149568107 Jul 2024 800 $395K +19.1% 1.53% EC
18 Construction Partners Inc. 21044C107 Jul 2024 4,800 $394K +27.1% 1.53% EC
19 Calix Inc. 13100M509 Jul 2024 9,000 +4,500 $368K +98.9% 1.43% EC
20 Badger Meter Inc 056525108 Jul 2024 1,650 $364K +7.1% 1.41% EC
21 Hamilton Lane Inc 407497106 Jul 2024 2,300 $355K +7.0% 1.38% EC
22 Firstcash Holdings Inc 33768G107 Apr 2025 2,650 New $355K 1.38% EC
23 Nova Ltd M7516K103 Jul 2024 1,800 $353K -5.0% 1.37% EC
24 Rambus Inc. 750917106 Jul 2024 7,000 -10,800 $342K -62.7% 1.32% EC
25 Cyberark Software Ltd. M2682V108 Apr 2025 950 New $335K 1.30% EC
26 Itron, Inc. 465741106 Apr 2025 3,000 New $334K 1.29% EC
27 DraftKings Inc. 26142V105 Jul 2024 9,960 $332K -9.9% 1.29% EC
28 AZZ Inc 002474104 Jul 2024 3,750 $325K +8.5% 1.26% EC
29 RBC Bearings Inc 75524B104 Apr 2025 970 New $319K 1.24% EC
30 Texas Roadhouse Inc 882681109 Jul 2024 1,900 $315K -5.0% 1.22% EC
31 Sportradar Group AG H8088L103 Jul 2024 13,600 $314K +112.8% 1.22% EC
32 Gravity Co Ltd 38911N206 Apr 2025 5,100 New $305K 1.18% EC
33 AeroVironment, Inc. 008073108 Jul 2024 1,994 $302K -15.1% 1.17% EC
34 Brookfield Asset Management Ltd 113004105 Jul 2024 5,637 $301K +22.2% 1.17% EC
35 Integer Holdings Corp. 45826H109 Apr 2025 2,350 New $297K 1.15% EC
36 StoneX Group Inc 861896108 Apr 2025 3,300 New $292K 1.13% EC
37 Palomar Holdings Inc 69753M105 Apr 2025 2,000 New $290K 1.12% EC
38 Sharkninja Inc. G8068L108 Jul 2024 3,500 $282K +4.7% 1.09% EC
39 Churchill Downs Inc 171484108 Jul 2024 3,100 $280K -37.0% 1.09% EC
40 Merit Medical Systems Inc. 589889104 Apr 2025 2,950 New $279K 1.08% EC
41 Super Micro Computer Inc. 86800U302 Apr 2025 8,700 New $277K 1.07% EC
42 TaskUs Inc 87652V109 Jul 2024 19,800 +7,800 $276K +39.5% 1.07% EC
43 Veracyte Inc 92337F107 Apr 2025 8,900 New $271K 1.05% EC
44 Ensign Group Inc 29358P101 Jul 2024 2,100 $271K -8.4% 1.05% EC
45 Merchants Bancorp. (Indiana) 58844R108 Jul 2024 8,800 $265K -33.2% 1.03% EC
46 Graphic Packaging Holding Company 388689101 Jul 2024 10,450 $264K -15.9% 1.03% EC
47 Progyny Inc 74340E103 Apr 2025 11,500 New $263K 1.02% EC
48 Marex Group Plc G5S37H101 Apr 2025 5,900 New $262K 1.01% EC
49 Acm Research Inc 00108J109 Apr 2025 13,300 New $259K 1.00% EC
50 Grab Holdings Ltd. G4124C109 Jul 2024 52,000 $254K +47.9% 0.98% EC
51 Driven Brands Holdings Inc 26210V102 Apr 2025 14,850 New $245K 0.95% EC
52 WNS Holdings Ltd. G98196101 Jul 2024 3,800 $230K +1.6% 0.89% EC
53 Balchem Corp 057665200 Apr 2025 1,450 New $227K 0.88% EC
54 Verra Mobility Corporation 92511U102 Jul 2024 10,000 $218K -27.6% 0.85% EC
55 Allegro MicroSystems Inc 01749D105 Apr 2025 11,300 New $215K 0.84% EC
56 Griffon Corp 398433102 Apr 2025 3,050 New $208K 0.81% EC
57 Bancorp Inc 05969A105 Apr 2025 4,300 New $208K 0.81% EC
58 Enova International Inc. 29357K103 Apr 2025 2,250 New $207K 0.80% EC
59 Dorman Products Inc. 258278100 Apr 2025 1,800 New $204K 0.79% EC
60 Tecnoglass Inc G87264100 Apr 2025 2,800 New $200K 0.77% EC
61 United States Lime & Minerals Inc. 911922102 Apr 2025 2,100 New $196K 0.76% EC
62 Janus International Group Inc 47103N106 Jul 2024 28,500 +9,550 $196K -28.2% 0.76% EC
63 Haemonetics Corp 405024100 Apr 2025 3,100 New $195K 0.76% EC
64 ExlService Holdings Inc. 302081104 Apr 2025 4,000 New $194K 0.75% EC
65 Dole PLC G27907107 Jul 2024 12,600 $191K +2.3% 0.74% EC
66 Bright Horizons Family Solutions Inc Del 109194100 Apr 2025 1,500 New $188K 0.73% EC
67 Boyd Gaming Corporation 103304101 Apr 2025 2,700 New $187K 0.72% EC
68 IES Holdings Inc. 44951W106 Apr 2025 940 New $185K 0.72% EC
69 Range Resources Corp. 75281A109 Jul 2024 5,400 -5,300 $183K -45.2% 0.71% EC
70 Paylocity Holding Corporation 70438V106 Apr 2025 950 New $182K 0.71% EC
71 Performance Food Group Co. 71377A103 Apr 2025 2,250 New $181K 0.70% EC
72 Group 1 Automotive, Inc. 398905109 Jul 2024 440 $178K +10.4% 0.69% EC
73 Pacira Biosciences Inc 695127100 Apr 2025 6,600 New $178K 0.69% EC
74 Boot Barn Holdings Inc 099406100 Jul 2024 1,700 $177K -21.8% 0.69% EC
75 Hawkins Inc 420261109 Jul 2024 1,450 $177K +17.2% 0.68% EC
76 V2X Inc 92242T101 Jul 2024 3,500 $174K -4.5% 0.68% EC
77 Healthpeak Properties Inc 42250P103 Apr 2025 9,650 New $172K 0.67% EC
78 Aris Water Solutions Inc 04041L106 Apr 2025 6,700 New $167K 0.65% EC
79 Universal Technical Institute, Inc. 913915104 Apr 2025 5,750 New $161K 0.63% EC
80 NCR Atleos Corp. 63001N106 Apr 2025 5,700 New $159K 0.62% EC
81 Vital Farms Inc. 92847W103 Apr 2025 4,600 New $158K 0.61% EC
82 Aaon Inc 000360206 Apr 2025 1,700 New $155K 0.60% EC
83 Wesco International, Inc. 95082P105 Apr 2025 950 New $155K 0.60% EC
84 Zoominfo Technologies Inc 98980F104 Apr 2025 17,300 New $148K 0.57% EC
85 G III Apparel Group Ltd 36237H101 Apr 2025 5,450 New $137K 0.53% EC
86 Interparfums Inc 458334109 Apr 2025 1,200 New $131K 0.51% EC
87 Herc Holdings Inc 42704L104 Apr 2025 1,100 New $120K 0.47% EC
88 N/A N/A Jul 2024 74,893 New $0 0.00% EC
Northern Oil And Gas, Inc. 665531307 17,900 Exited $0.8M
Arcos Dorados Holdings Inc G0457F107 73,000 Exited $0.7M
Permian Resources Corp 71424F105 44,700 Exited $0.7M
Super Micro Computer Inc. 86800U104 870 Exited $0.6M
E L F Beauty Inc 26856L103 3,300 Exited $0.6M
Dick's Sporting Goods, Inc. 253393102 2,240 Exited $0.5M
Novanta Inc 67000B104 2,300 Exited $0.4M
PACS Grouop Inc. 69380Q107 11,400 Exited $0.4M
Shift4 Payments Inc 82452J109 5,800 Exited $0.4M
Cactus Inc 127203107 6,050 Exited $0.4M
Installed Building Products Inc 45780R101 1,330 Exited $0.4M
Lattice Semiconductor Corporation 518415104 6,500 Exited $0.3M
Kulicke and Soffa Industries, Inc. 501242101 7,300 Exited $0.3M
Weatherford International Plc G48833118 2,900 Exited $0.3M
Matador Resources Company 576485205 5,500 Exited $0.3M
International Seaways Inc. Y41053102 5,450 Exited $0.3M
Tetra Tech Inc 88162G103 1,400 Exited $0.3M
NVent Electric PLC G6700G107 4,100 Exited $0.3M
Bio-Techne Corp 09073M104 3,600 Exited $0.3M
Oddity Tech Ltd. M7518J104 7,200 Exited $0.3M
Copa Holdings SA P31076105 3,150 Exited $0.3M
Onto Innovation Inc. 683344105 1,450 Exited $0.3M
US Silica Holdings Inc 90346E103 17,900 Exited $0.3M
Amkor Technology, Inc. 031652100 8,250 Exited $0.3M
Kratos Defense & Security Solutions, Inc. 50077B207 11,400 Exited $0.3M
API Group Corp 00187Y100 6,600 Exited $0.3M
Radnet Inc 750491102 3,900 Exited $0.2M
Camtek Limited M20791105 2,200 Exited $0.2M
Stoneco Ltd G85158106 15,700 Exited $0.2M
Murphy USA Inc. 626755102 370 Exited $0.2M
Neurocrine Biosciences Inc 64125C109 1,315 Exited $0.2M
Frontline Plc M46528101 6,450 Exited $0.2M
Par Pacific Holdings, Inc. 69888T207 5,900 Exited $0.2M
Visteon Corporation 92839U206 1,350 Exited $0.2M
Consol Energy Inc New 20854L108 1,550 Exited $0.2M
Agilysys Inc 00847J105 1,350 Exited $0.2M
Inmode Limited M5425M103 8,300 Exited $0.2M
Green Brick Partners Inc. 392709101 2,050 Exited $0.1M
Dorian LPG Ltd. Y2106R110 3,550 Exited $0.1M