
PARADIGM CAPITAL MANAGEMENT INC/NY
Latest 13F filing data - Q1 2026
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | RBBN | 8.04M | $17.04M |
![]() | EXTR | 5.23M | $78.94M |
![]() | IART | 4.01M | $37.80M |
![]() | MDXG | 3.41M | $13.47M |
![]() | OFIX | 3.30M | $37.91M |
![]() | XRAY | 2.98M | $34.54M |
![]() | CRNC | 2.51M | $15.82M |
![]() | VECO | 2.17M | $73.52M |
![]() | ENOV | 1.78M | $40.42M |
![]() | PENG | 1.61M | $28.25M |
![]() | QDEL | 1.53M | $25.07M |
![]() | MOD | 1.46M | $315.44M |
![]() | PNTG | 1.41M | $42.94M |
![]() | SIBN | 1.13M | $14.23M |
![]() | ONTO | 1.10M | $226.08M |
![]() | MBC | 1.08M | $8.99M |
![]() | NSIT | 956K | $64.06M |
![]() | HELE | 927K | $13.37M |
![]() | JILL | 914K | $10.48M |
![]() | CAL | 912K | $9.61M |

Ribbon Communications Inc.
RBBN
Shares Held
8.04M
Value
$17.04M

Extreme Networks, Inc.
EXTR
Shares Held
5.23M
Value
$78.94M

Integra LifeSciences Holdings Corporation
IART
Shares Held
4.01M
Value
$37.80M

MiMedx Group, Inc.
MDXG
Shares Held
3.41M
Value
$13.47M

Orthofix Medical Inc.
OFIX
Shares Held
3.30M
Value
$37.91M

DENTSPLY SIRONA Inc.
XRAY
Shares Held
2.98M
Value
$34.54M

Cerence Inc.
CRNC
Shares Held
2.51M
Value
$15.82M

Veeco Instruments Inc.
VECO
Shares Held
2.17M
Value
$73.52M

Enovis Corporation
ENOV
Shares Held
1.78M
Value
$40.42M

Penguin Solutions, Inc.
PENG
Shares Held
1.61M
Value
$28.25M

QuidelOrtho Corporation
QDEL
Shares Held
1.53M
Value
$25.07M

Modine Manufacturing Company
MOD
Shares Held
1.46M
Value
$315.44M

The Pennant Group, Inc.
PNTG
Shares Held
1.41M
Value
$42.94M

SI-BONE, Inc.
SIBN
Shares Held
1.13M
Value
$14.23M

Onto Innovation Inc.
ONTO
Shares Held
1.10M
Value
$226.08M

MasterBrand, Inc.
MBC
Shares Held
1.08M
Value
$8.99M

Insight Enterprises, Inc.
NSIT
Shares Held
956K
Value
$64.06M

Helen of Troy Limited
HELE
Shares Held
927K
Value
$13.37M

J.Jill, Inc.
JILL
Shares Held
914K
Value
$10.48M

Caleres, Inc.
CAL
Shares Held
912K
Value
$9.61M
