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Portfolio (Quarterly) Guide ↗

ALGERT GLOBAL LLC

· CIK 0001275218
13F Portfolio $6.6B AUM 1,134 positions Filed May 14, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 257 New 445 Added 372 Reduced 243 Exited
Page 1 of 23  ·  445 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
1 AAPL APPLE INC Technology 176,254.0 $44.7M 0.67% +7K +4.2% $253.79 +20.2%
2 NVDA NVIDIA CORPORATION Technology 221,593.0 $38.6M 0.58% +3K +1.2% $174.40 +25.9%
3 WWD WOODWARD INC Industrials 98,558.0 $35.3M 0.53% +18K +21.6% $357.92 -0.4%
4 POR PORTLAND GEN ELEC CO Utilities 652,927.0 $34.5M 0.52% +9K +1.3% $52.77 -5.8%
5 TMHC TAYLOR MORRISON HOME CORP Consumer Cyclical 572,307.0 $33.3M 0.50% +104K +22.3% $58.24 -1.3%
6 MSFT MICROSOFT CORP Technology 87,235.0 $32.3M 0.49% +4K +4.2% $370.17 +13.2%
7 APG API GROUP CORP Industrials 771,658.0 $31.3M 0.47% +249K +47.7% $40.52 +2.4%
8 LAUR LAUREATE ED INC Consumer Defensive 880,208.0 $30.7M 0.46% +122K +16.1% $34.84 -5.4%
9 DT DYNATRACE INC Technology 814,526.0 $30.1M 0.45% +679K +502.9% $36.98 +5.9%
10 ALB ALBEMARLE CORP Basic Materials 166,318.0 $29.9M 0.45% +67K +67.6% $179.53 -5.4%
11 MOOG INC 101,879.0 $29.8M 0.45% +17K +20.1% $292.64
12 AR ANTERO RESOURCES CORP Energy 696,642.0 $29.6M 0.45% +282K +67.9% $42.44 -12.7%
13 SNX TD SYNNEX CORPORATION Technology 162,361.0 $27.4M 0.41% +44K +36.9% $168.71 +36.7%
14 SF STIFEL FINL CORP Financial Services 368,515.0 $27.2M 0.41% +173K +88.7% $73.92 -1.2%
15 AVA AVISTA CORP Utilities 638,807.0 $25.6M 0.39% +40K +6.7% $40.14 +1.9%
16 TPC TUTOR PERINI CORP Industrials 327,554.0 $25.3M 0.38% +54K +19.5% $77.19 -0.3%
17 CNX CNX RES CORP Energy 636,011.0 $24.5M 0.37% +458K +256.9% $38.55 -7.8%
18 FN FABRINET Technology 46,823.0 $24.4M 0.37% +18K +63.9% $521.52 +34.9%
19 RL RALPH LAUREN CORP Consumer Cyclical 69,809.0 $24.0M 0.36% +21K +42.2% $344.00 -4.3%
20 FHN FIRST HORIZON CORPORATION Financial Services 1,037,062.0 $23.6M 0.35% +552K +113.8% $22.76 +5.9%
Page 1 of 23  ·  445 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Industrials 18.5%
Technology 15.3%
Financial Services 13.6%
Healthcare 13.4%
Consumer Cyclical 12.8%
Energy 5.8%
Real Estate 5.6%
Consumer Defensive 5.3%
Basic Materials 4.1%
Utilities 3.0%