Filer Name: ORCHARD CAPITAL MANAGEMENT, LLC
CIK: 1858319
Period: 2024-12-31
Filed At: 2025-02-14
Number of Holdings: 57
Portfolio Value: $0.25B

Orchard Capital Management, Llc Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
ENVA US ENOVA INTERNATIONAL INC 193,849 $19M 7.40% -5.4% -
TBBK US BANCORP INC/THE 352,557 $19M 7.38% -4.8% -
CRTO US CRITEO SA-SPON ADR 377,615 $15M 5.85% -5.7% -
US35953C1 - FTAI INFRASTRUCTURE INC COMMON STOCK 1,896,093 $13M 5.28% -6.0% -
US76156B1 - REVOLVE GROUP INC CL A 339,709 $12M 4.58% -6.0% -
CASH US PATHWARD FINANCIAL INC 155,831 $12M 4.56% -5.6% -
TRN US TRINITY INDUSTRIES INC 314,707 $11M 4.37% -5.5% -
US4489475 - IDT CORP CL B NEW 218,000 $10M 4.06% -6.0% -
ACA US ARCOSA INC 97,600 $9M 3.74% -5.2% -
MWA US MUELLER WATER PRODUCTS INC-A 416,053 $9M 3.70% -5.4% -
GLRE US GREENLIGHT CAPITAL RE LTD-A 666,181 $9M 3.64% -5.5% -
AX US AXOS FINANCIAL INC 130,157 $9M 3.63% -5.3% -
SUM US SUMMIT MATERIALS INC -CL A 171,000 $9M 3.41% -32.3% -
GTX US GARRETT MOTION INC 955,258 $9M 3.35% -5.6% -
ARCB US ARCBEST CORP 84,698 $8M 3.11% -5.6% -
US88642R1 - TIDEWATER INC NEW COM 132,454 $7M 2.78% -6.0% -
US89679E3 - TRIUMPH FINANCIAL INC COM 72,212 $7M 2.59% -6.0% -
GSM US FERROGLOBE PLC 1,533,648 $6M 2.29% -5.7% -
US35243J1 - FRANKLIN BSP RLTY TR INC COMMON STOCK 456,931 $6M 2.25% -6.0% -
DCO US DUCOMMUN INC 92,012 $6M 2.21% 100.0% -
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