
PALISADE CAPITAL MANAGEMENT, LP
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | HRTX | 7.33M | $9.23M |
![]() | CCCS | 3.74M | $34.07M |
![]() | RLJ | 2.96M | $21.28M |
![]() | AHCO | 2.60M | $23.29M |
![]() | CRSR | 2.32M | $20.74M |
![]() | HCSG | 2.15M | $36.23M |
![]() | DH | 2.14M | $8.70M |
![]() | DBRG | 1.97M | $23.01M |
![]() | UIS | 1.73M | $6.74M |
![]() | FA | 1.69M | $25.94M |
![]() | OSW | 1.57M | $33.30M |
![]() | VRRM | 1.55M | $38.28M |
![]() | PRMB | 1.50M | $33.24M |
![]() | EBS | 1.43M | $12.58M |
![]() | FULT | 1.42M | $26.44M |
![]() | NVST | 1.20M | $24.39M |
![]() | COLB | 1.19M | $30.60M |
![]() | PACK | 1.18M | $6.64M |
![]() | SM | 1.16M | $28.96M |
![]() | AVNT | 1.06M | $34.86M |

Heron Therapeutics, Inc.
HRTX
Shares Held
7.33M
Value
$9.23M

CCC Intelligent Solutions Holdings Inc.
CCCS
Shares Held
3.74M
Value
$34.07M

RLJ Lodging Trust
RLJ
Shares Held
2.96M
Value
$21.28M

AdaptHealth Corp.
AHCO
Shares Held
2.60M
Value
$23.29M

Corsair Gaming, Inc.
CRSR
Shares Held
2.32M
Value
$20.74M

Healthcare Services Group, Inc.
HCSG
Shares Held
2.15M
Value
$36.23M

Definitive Healthcare Corp.
DH
Shares Held
2.14M
Value
$8.70M

DigitalBridge Group, Inc.
DBRG
Shares Held
1.97M
Value
$23.01M

Unisys Corporation
UIS
Shares Held
1.73M
Value
$6.74M

First Advantage Corporation
FA
Shares Held
1.69M
Value
$25.94M

OneSpaWorld Holdings Limited
OSW
Shares Held
1.57M
Value
$33.30M

Verra Mobility Corporation
VRRM
Shares Held
1.55M
Value
$38.28M

Primo Brands Corporation
PRMB
Shares Held
1.50M
Value
$33.24M

Emergent BioSolutions Inc.
EBS
Shares Held
1.43M
Value
$12.58M

Fulton Financial Corporation
FULT
Shares Held
1.42M
Value
$26.44M

Envista Holdings Corp
NVST
Shares Held
1.20M
Value
$24.39M

Columbia Banking System, Inc.
COLB
Shares Held
1.19M
Value
$30.60M

Ranpak Holdings Corp.
PACK
Shares Held
1.18M
Value
$6.64M

SM Energy Company
SM
Shares Held
1.16M
Value
$28.96M

Avient Corporation
AVNT
Shares Held
1.06M
Value
$34.86M
