PARADIGM FUNDS date 2023-12-31

Filling information for fund PARADIGM FUNDS as Treemap, fund includes 51 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
13100M509 13100M509 Calix, Inc. 60000.0 2621400.0 CORP Long
872381108 872381108 TELA Bio, Inc. 140000.0 926800.0 CORP Long
002121101 002121101 A10 Networks, Inc. 200000.0 2634000.0 CORP Long
006739106 006739106 Addus HomeCare Corporation 19700.0 1829145.0 CORP Long
00486H105 00486H105 ADTRAN Holdings, Inc. 250000.0 1835000.0 CORP Long
02553E106 02553E106 American Eagle Outfitters, Inc. 13300.0 281428.0 CORP Long
04206A101 04206A101 Arlo Technologies Inc. 50800.0 483616.0 CORP Long
04963C209 04963C209 AtriCure, Inc. 60900.0 2173521.0 CORP Long
05366Y201 05366Y201 Aviat Networks, Inc. 100000.0 3266000.0 CORP Long
054540208 054540208 Axcelis Technologies, Inc. 40000.0 5187600.0 CORP Long
114340102 114340102 Brooks Automation, Inc. 9800.0 638372.0 CORP Long
129500104 129500104 Caleres, Inc. 140000.0 4302200.0 CORP Long
G17766109 G17766109 Cambium Networks Corporation 247300.0 1483800.0 CORP Long
17306X102 17306X102 Citi Trends, Inc. 120000.0 3393600.0 CORP Long
192005106 192005106 Codexis, Inc. 800000.0 2440000.0 CORP Long
192576106 192576106 Cohu, Inc. 32650.0 1155483.5 CORP Long
227483104 227483104 Cross Country Healthcare, Inc. 55000.0 1245200.0 CORP Long
264147109 264147109 Ducommun Incorporated 80000.0 4164800.0 CORP Long
415864107 415864107 Harsco Corporation 400000.0 3600000.0 CORP Long
29772L108 29772L108 Eton Pharmaceuticals, Inc. 300000.0 1314000.0 CORP Long
30226D106 30226D106 Extreme Networks, Inc. 300000.0 5292000.0 CORP Long
N/A N/A Pacira BioSciences, Inc. 300000.0 126000.0 CORP Long
431571108 431571108 Hillenbrand, Inc. 5200.0 248820.0 CORP Long
45667G103 45667G103 Infinera Corporation 600000.0 2850000.0 CORP Long
45765U103 45765U103 Insight Enterprises, Inc. 40000.0 7087600.0 CORP Long
46620W102 46620W102 J.Jill, Inc. 60000.0 1546800.0 CORP Long
48282T104 48282T104 Kadant Inc. 15100.0 4232681.0 CORP Long
488152208 488152208 Kelly Services, Inc. 130500.0 2821410.0 CORP Long
501242101 501242101 Kulicke & Soffa Industries Inc. 33700.0 1844064.0 CORP Long
602496101 602496101 MiMedx Group, Inc. 500000.0 4385000.0 CORP Long
607828100 607828100 Modine Manufacturing Company 200000.0 11940000.0 CORP Long
67576A100 67576A100 Ocular Therapeutix, Inc. 160000.0 713600.0 CORP Long
68213N109 68213N109 Omnicell, Inc. 20000.0 752600.0 CORP Long
683344105 683344105 Onto Innovation Inc. 50000.0 7645000.0 CORP Long
68622V106 68622V106 Organon & Co. 100000.0 1442000.0 CORP Long
68752L100 68752L100 OrthoPediatrics Corp. 92600.0 3010426.0 CORP Long
68752M108 68752M108 Orthofix Medical Inc. 200000.0 2696000.0 CORP Long
70805E109 70805E109 The Pennant Group, Inc. 250000.0 3480000.0 CORP Long
743312100 743312100 Progress Software Corporation 10900.0 591870.0 CORP Long
749397105 749397105 R1 RCM Inc. 300000.0 3171000.0 CORP Long
762544104 762544104 Ribbon Communications Inc. 1200000.0 3480000.0 CORP Long
783965593 783965593 SEI Daily Income Trust - SDIT Short Duration Government Fund 12366143.59 12366143.59 RF Long
825704109 825704109 Si-Bone, Inc. 20000.0 419800.0 CORP Long
816850101 816850101 Semtech Corporation 20000.0 438200.0 CORP Long
81725T100 81725T100 Sensient Technologies Corporation 5950.0 392700.0 CORP Long
86614U100 86614U100 Summit Materials, Inc. 110000.0 4230600.0 CORP Long
87357P100 87357P100 Tactile Systems Technology, Inc. 200000.0 2860000.0 CORP Long
29358P101 29358P101 The Ensign Group, Inc. 40000.0 4488400.0 CORP Long
90385V107 90385V107 Ultra Clean Holdings, Inc. 120000.0 4096800.0 CORP Long
922417100 922417100 Veeco Instruments Inc. 150000.0 4654500.0 CORP Long
92663R105 92663R105 Viemed Healthcare, Inc. 320000.0 2512000.0 CORP Long