PARADIGM FUNDS date 2023-12-31

Filling information for fund PARADIGM FUNDS as Treemap, fund includes 46 total holdings based on latest SEC fillings.

Product name

Product description

Changed holding value / amount

Details
Symbol Cusip Name Amount Value Title Of Class Pay of profile
002121101 002121101 A10 Networks, Inc. 124300.0 1637031.0 CORP Long
006739106 006739106 Addus HomeCare Corporation 18900.0 1754865.0 CORP Long
00922R105 00922R105 Air Transport Services Group, Inc. 37000.0 651570.0 CORP Long
02553E106 02553E106 American Eagle Outfitters, Inc. 67600.0 1430416.0 CORP Long
05366Y201 05366Y201 Aviat Networks, Inc. 10000.0 326600.0 CORP Long
114340102 114340102 Azenta, Inc. 28100.0 1830434.0 CORP Long
06652V208 06652V208 Banner Corporation 9000.0 482040.0 CORP Long
13100M509 13100M509 Calix, Inc. 30000.0 1310700.0 CORP Long
20602D101 20602D101 Concentrix Corporation 5900.0 579439.0 CORP Long
206787103 206787103 Conduent Incorporated 130000.0 474500.0 CORP Long
20848V105 20848V105 Consensus Cloud Solutions, Inc. 6666.0 174715.86 CORP Long
250565108 250565108 Designer Brands Inc. 51000.0 451350.0 CORP Long
264147109 264147109 Ducommun Incorporated 10000.0 520600.0 CORP Long
29084Q100 29084Q100 EMCOR Group, Inc. 13800.0 2972934.0 CORP Long
415864107 415864107 Harsco Corporation 50000.0 450000.0 CORP Long
30226D106 30226D106 Extreme Networks, Inc. 40000.0 705600.0 CORP Long
G3323L100 G3323L100 Fabrinet 6000.0 1141980.0 CORP Long
320817109 320817109 First Merchants Corporation 32000.0 1186560.0 CORP Long
361448103 361448103 GATX Corp. 9900.0 1190178.0 CORP Long
44891N208 44891N208 IAC Inc. 6000.0 314280.0 CORP Long
45667G103 45667G103 Infinera Corporation 200000.0 950000.0 CORP Long
45765U103 45765U103 Insight Enterprises, Inc. 7000.0 1240330.0 CORP Long
466313103 466313103 Jabil Circuit, Inc. 15000.0 1911000.0 CORP Long
48282T104 48282T104 Kadant Inc. 3500.0 981085.0 CORP Long
493732101 493732101 Kforce Inc. 36500.0 2465940.0 CORP Long
501242101 501242101 Kulicke & Soffa Industries Inc. 44600.0 2440512.0 CORP Long
59522J103 59522J103 Mid-America Apartment Communities Inc. 10950.0 1472337.0 CORP Long
607828100 607828100 Modine Manufacturing Company 30000.0 1791000.0 CORP Long
633707104 633707104 National Bank Holdings Corporation 15000.0 557850.0 CORP Long
683344105 683344105 Onto Innovation Inc. 10000.0 1529000.0 CORP Long
68622V106 68622V106 Organon & Co. 30000.0 432600.0 CORP Long
68752M108 68752M108 Orthofix Medical Inc. 40000.0 539200.0 CORP Long
74164F103 74164F103 Primoris Services Corporation 18000.0 597780.0 CORP Long
74736K101 74736K101 Qorvo, Inc. 11700.0 1317537.0 CORP Long
749397105 749397105 R1 RCM Inc. 60000.0 634200.0 CORP Long
750491102 750491102 RadNet, Inc. 29000.0 1008330.0 CORP Long
75970E107 75970E107 Renasant Corporation 21000.0 707280.0 CORP Long
714046109 714046109 Revvity, Inc. 12500.0 1366375.0 CORP Long
783965593 783965593 SEI Daily Income Trust - SDIT Short Duration Government Fund 1335210.24 1335210.24 RF Long
81725T100 81725T100 Sensient Technologies Corporation 21700.0 1432200.0 CORP Long
86614U100 86614U100 Summit Materials, Inc. 69510.0 2673354.6 CORP Long
87162W100 87162W100 TD SYNNEX Corporation 10832.0 1165631.52 CORP Long
87357P100 87357P100 Tactile Systems Technology, Inc. 30000.0 429000.0 CORP Long
29358P101 29358P101 The Ensign Group, Inc. 10000.0 1122100.0 CORP Long
922417100 922417100 Veeco Instruments Inc. 20000.0 620600.0 CORP Long
48123V102 48123V102 j2 Global, Inc. 7200.0 483768.0 CORP Long