Filer Name: TRIGRAN INVESTMENTS, INC.
CIK: 1336800
Period: 2024-12-31
Filed At: 2025-02-13
Number of Holdings: 18
Portfolio Value: $0.87B

Trigran Investments, Inc. Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
SYNA US SYNAPTICS INC 1,072,222 $82M 9.41% 5.9% -
THRM US GENTHERM INC 1,990,938 $79M 9.14% 7.3% -
87874R308 - TECHTARGET INC 3,759,509 $75M 8.57% 100.0% -
MDXG US MIMEDX GROUP INC 7,621,517 $73M 8.43% -0.9% -
MTRN US MATERION CORP 737,830 $73M 8.39% 3.2% -
HLIT US HARMONIC INC 4,979,294 $66M 7.58% -12.3% -
SONO US SONOS INC 4,231,712 $64M 7.32% -12.2% -
RDVT US RED VIOLET INC 1,595,399 $58M 6.64% -16.6% -
OOMA US OOMA INC 3,487,277 $49M 5.64% -8.8% -
NPO US ENPRO INC 283,906 $49M 5.63% -1.7% -
EXTR US EXTREME NETWORKS INC 2,384,325 $40M 4.59% 4.1% -
HAYW US HAYWARD HOLDINGS INC 2,400,037 $37M 4.22% 75.8% -
ANIK US ANIKA THERAPEUTICS INC 2,021,778 $33M 3.83% -4.8% -
HCKT US HACKETT GROUP INC/THE 877,554 $27M 3.10% -18.7% -
CALX US CALIX INC 721,648 $25M 2.89% -2.8% -
FROG US JFROG LTD 821,250 $24M 2.78% -1.2% -
SRDX US SURMODICS INC 368,215 $15M 1.68% -32.2% -
BRK/B US BERKSHIRE HATHAWAY INC-CL B 3,150 $1M 0.16% - -
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