Holdings Channel
Size ($ in 1000's)
At 12/31/2023: $1,650,064
At 09/30/2023: $1,506,675

Ranger Investment Management L.P. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Ranger Investment Management L.P. 13F filings. Link to 13F filings: SEC filings

Ranger Investment Management L.P. Top Holdings
As of  12/31/2023, below is a summary of the Ranger Investment Management L.P. top holdings by largest position size, as per the latest 13f filing made by Ranger Investment Management L.P.. In the Ranger Investment Management L.P.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Ranger Investment Management L.P. in that top holding, then the share count change between reporting periods, and finally the Ranger Investment Management L.P. top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
Permian Resources Corporation 4,289,378 +556,132 $58,336
     PR4,289,378+556,132$58,336
LeMaitre Vascular Inc. 912,503 +13,681 $51,794
     LMAT912,503+13,681$51,794
Texas Roadhouse Inc 412,482 -106,096 $50,418
     TXRH412,482-106,096$50,418
WNS Holdings Limited 682,210 +3,272 $43,116
     WNS682,210+3,272$43,116
Qualys Inc. 219,142 -69,632 $43,013
     QLYS219,142-69,632$43,013
Medpace Holdings Inc. 138,744 -50,958 $42,529
     MEDP138,744-50,958$42,529
Simulations Plus Inc. 931,132 +12,505 $41,668
     SLP931,132+12,505$41,668
OneSpaWorld Holdings Limited 2,898,255 +117,765 $40,865
     OSW2,898,255+117,765$40,865
Workiva Inc. 394,686 +2,000 $40,072
     WK394,686+2,000$40,072
Grocery Outlet Holding Corp 1,419,667 +7,168 $38,274
     GO1,419,667+7,168$38,274
Casella Waste Systems Inc. 438,936 +2,100 $37,511
     CWST438,936+2,100$37,511
Conmed Corp. 336,549 +1,675 $36,855
     CNMD336,549+1,675$36,855
e.l.f. Beauty Inc. 250,104 -20,308 $36,100
     ELF250,104-20,308$36,100
Boot Barn Holdings Inc. 457,785 +2,935 $35,140
     BOOT457,785+2,935$35,140
Home Bancshares Inc (HOMB) 1,373,430 +6,755 $34,789
     HOMB1,373,430+6,755$34,789
The AZEK Co Inc 884,645 +346,798 $33,838
     AZEK884,645+346,798$33,838
DoubleVerify Holdings Inc. 907,313 +190,786 $33,371
     DV907,313+190,786$33,371
TopBuild Corp. 88,054 +447 $32,955
     BLD88,054+447$32,955
Guidewire Software Inc. 301,195 +140,281 $32,842
     GWRE301,195+140,281$32,842
Triumph Financial Inc. 400,509 +4,660 $32,113
     TFIN400,509+4,660$32,113
Repligen Corporation 173,817 +733 $31,252
     RGEN173,817+733$31,252
Cadence Bank 1,054,575 +393,037 $31,205
     CADE1,054,575+393,037$31,205
SiteOne Landscape Supply Inc. 189,820 +880 $30,846
     SITE189,820+880$30,846
Saia Inc. 70,173 +411 $30,751
     SAIA70,173+411$30,751
Pegasystems Inc. 625,471 +143,986 $30,561
     PEGA625,471+143,986$30,561
Option Care Health Inc 888,495 +470,132 $29,933
     OPCH888,495+470,132$29,933
AerSale Corporation 2,278,295 +828,836 $28,923
     ASLE2,278,295+828,836$28,923
Chemed Corporation 48,555 +275 $28,393
     CHE48,555+275$28,393
Skyline Champion Corporation 362,022 +93,391 $26,884
     SKY362,022+93,391$26,884
Dril Quip Inc. 1,105,735 +408,076 $25,730
     DRQ1,105,735+408,076$25,730
Repay Holdings Corporation 2,959,167 +40,076 $25,271
     RPAY2,959,167+40,076$25,271
Model N Inc. 937,846 +70,868 $25,256
     MODN937,846+70,868$25,256
Magnolia Oil & Gas Corporation 1,184,875 +1,184,875 $25,226
     MGY1,184,875+1,184,875$25,226
Appfolio Inc. 145,524 +697 $25,211
     APPF145,524+697$25,211
Excelerate Energy Inc 1,609,580 +7,815 $24,884
     EE1,609,580+7,815$24,884
PDF Solutions Inc. 769,650 +253,393 $24,737
     PDFS769,650+253,393$24,737
ANI Pharmaceuticals Inc. 434,617 +7,769 $23,965
     ANIP434,617+7,769$23,965
Mesa Laboratories Inc. 226,682 +2,689 $23,749
     MLAB226,682+2,689$23,749
Steven Madden Ltd. 560,941 +150,852 $23,560
     SHOO560,941+150,852$23,560
I3 Verticals Inc 1,047,985 +26,670 $22,186
     IIIV1,047,985+26,670$22,186
Federal Signal 278,205 +55,503 $21,349
     FSS278,205+55,503$21,349
Quaker Chemical 96,769 +27,669 $20,652
     KWR96,769+27,669$20,652
Endava Plc 262,330 +1,413 $20,422
     DAVA262,330+1,413$20,422
Coty Inc 1,623,182 +7,910 $20,160
     COTY1,623,182+7,910$20,160
Amedisys Inc 198,476 +1,155 $18,867
     AMED198,476+1,155$18,867
America s Car Mart Inc. 244,392 -42,695 $18,518
     CRMT244,392-42,695$18,518
Aris Water Solutions Inc. 2,040,756 +30,269 $17,122
     ARIS2,040,756+30,269$17,122
Sovos Brands Inc. 687,870 -215,408 $15,154
     SOVO687,870-215,408$15,154
Silicon Laboratories Inc. 110,428 +535 $14,606
     SLAB110,428+535$14,606
Willscot Mobile Mini Holdings 319,000 +319,000 $14,196
     WSC319,000+319,000$14,196

See Full List: All Stocks Held By Ranger Investment Management L.P.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Ranger Investment Management L.P.

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