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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

Phocas Financial Corp.

Quarter ended Q4 2025 · Filed January 21, 2026 · Accession 0001754960-26-000096

Total Value
$752.1M
Positions
144
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (144)

#IssuerTicker / CUSIPSharesValue% of Filing
1WINTRUST FINL CORP97650W108123,314$17.2M2.29%
2AMNEAL PHARMACEUTICALS INCAMRX1,282,974$16.2M2.15%
3NEXSTAR MEDIA GROUP INCNXST76,193$15.5M2.06%
4SKYWEST INCSKYW139,856$14.0M1.87%
5COLUMBIA BKG SYS INC197236102476,456$13.3M1.77%
6ADTALEM GLOBAL ED INCADT126,132$13.1M1.74%
7AMERIS BANCORPABCB174,733$13.0M1.73%
8STONEX GROUP INCSNEX136,202$13.0M1.72%
9PREFERRED BK LOS ANGELES CA740367404129,878$12.3M1.63%
10HECLA MNG CO422704106623,842$12.0M1.59%
11PATHWARD FINANCIAL INCCASH166,353$11.8M1.57%
12MKS INC.MKSI73,365$11.7M1.56%
13WHITE MTNS INS GROUP LTDG9618E1075,491$11.4M1.52%
14TTM TECHNOLOGIES INCTTMI165,357$11.4M1.52%
15SANMINA CORPORATIONSANM74,346$11.2M1.48%
16DUCOMMUN INC DELDCO114,834$10.9M1.45%
17AAR CORPAIR129,689$10.7M1.43%
18F N B CORP302520101625,940$10.7M1.42%
19BLACK HILLS CORPBKH154,041$10.7M1.42%
20TERRENO RLTY CORP88146M101180,452$10.6M1.41%
21FIRST MERCHANTS CORPFRMEP271,481$10.2M1.35%
22TEXAS CAP BANCSHARES INC88224Q107112,035$10.1M1.35%
23ONEMAIN HLDGS INCOMF133,708$9.0M1.20%
24RYDER SYS INCR44,940$8.6M1.14%
25CENTERSPACECSR123,999$8.3M1.10%
26OLD NATL BANCORP IND680033107369,924$8.3M1.10%
27RYMAN HOSPITALITY PPTYS INC78377T10786,168$8.2M1.08%
28RALLIANT CORPRAL157,116$8.0M1.06%
29OTTER TAIL CORPOTTR97,678$7.9M1.05%
30REV GROUP INC749527107129,639$7.9M1.05%
31ANGIODYNAMICS INCANGO606,273$7.8M1.04%
32PRIMORIS SVCS CORP74164F10362,478$7.8M1.03%
33MATERION CORPMTRN62,326$7.7M1.03%
34TXNM ENERGY INCTXNM128,758$7.6M1.01%
35ALERUS FINL CORP01446U103334,357$7.5M1.00%
36TIMKEN COTKR88,967$7.5M1.00%
37HERC HLDGS INCHRI49,869$7.4M0.98%
38CARPENTER TECHNOLOGY CORPCRS23,147$7.3M0.97%
39AGREE RLTY CORP008492100100,932$7.3M0.97%
40ENTERPRISE FINL SVCS CORP293712105133,505$7.2M0.96%
41PEDIATRIX MEDICAL GROUP INCMD335,551$7.2M0.95%
42IDACORP INCIDA56,662$7.2M0.95%
43BANNER CORPBANR113,401$7.1M0.94%
44NATIONAL FUEL GAS CONFG88,511$7.1M0.94%
45G III APPAREL GROUP LTDGIII244,406$7.1M0.94%
46SONIC AUTOMOTIVE INCSAH112,246$6.9M0.92%
47ENPRO INCNPO31,240$6.7M0.89%
48CHORD ENERGY CORPORATIONCHRD72,153$6.7M0.89%
49TRI POINTE HOMES INCTPH210,798$6.6M0.88%
50KITE RLTY GROUP TR49803T300275,239$6.6M0.88%
51ADT INC DELADT813,131$6.6M0.87%
52COMMUNITY HEALTHCARE TR INCCHCT398,893$6.5M0.87%
53ANTERO MIDSTREAM CORPAM365,743$6.5M0.87%
54KONTOOR BRANDS INCKTB104,479$6.4M0.85%
55VERRA MOBILITY CORPVRRM281,618$6.3M0.84%
56CLEVELAND-CLIFFS INC NEWCLF474,862$6.3M0.84%
57INDEPENDENCE RLTY TR INC45378A106360,359$6.3M0.84%
58BGC GROUP INCBGC702,819$6.3M0.83%
59ABBVIE INCABBV26,239$6.0M0.80%
60MAGNOLIA OIL & GAS CORPMGY266,299$5.8M0.78%
61PENGUIN SOLUTIONS INCPENG295,583$5.8M0.77%
62BELDEN INCBDC45,185$5.3M0.70%
63LADDER CAP CORPLADR474,719$5.2M0.69%
64CAL MAINE FOODS INCCALM64,472$5.1M0.68%
65UMB FINL CORP90278810843,404$5.0M0.66%
66SL GREEN RLTY CORP78440X887107,332$4.9M0.65%
67URBAN OUTFITTERS INCURBN65,100$4.9M0.65%
68SOTERA HEALTH COSHC277,139$4.9M0.65%
69QUIDELORTHO CORPQDEL170,018$4.9M0.65%
70ARTISAN PARTNERS ASSET MGMT04316A108116,636$4.8M0.63%
71PERIMETER SOLUTIONS INCPRM165,987$4.6M0.61%
72RANGE RES CORPRRC127,167$4.5M0.60%
73OPTION CARE HEALTH INCOPCH130,667$4.2M0.55%
74ELANCO ANIMAL HEALTH INCELAN182,755$4.1M0.55%
75MDU RES GROUP INC552690109210,150$4.1M0.55%
76LSI INDS INC OHIO50216C108219,779$4.0M0.54%
77LA Z BOY INCLZB107,885$4.0M0.53%
78COASTAL FINL CORP WA19046P20934,453$3.9M0.52%
79BEL FUSE INCBELFB23,091$3.9M0.52%
80FULLER H B COFUL64,839$3.9M0.51%
81SPIRE INCSRJN45,903$3.8M0.50%
82PACIRA BIOSCIENCES INCPCRX146,535$3.8M0.50%
83VIAVI SOLUTIONS INCVIAV211,672$3.8M0.50%
84CONCENTRA GROUP HOLDINGS PARCON190,328$3.7M0.50%
85KYNDRYL HLDGS INCKD141,023$3.7M0.50%
86ATLANTIC UN BANKSHARES CORP04911A107105,897$3.7M0.50%
87MACERICH COMAC202,221$3.7M0.50%
88BOOT BARN HLDGS INCBOOT20,836$3.7M0.49%
89GOOSEHEAD INS INCGSHD49,812$3.7M0.49%
90J & J SNACK FOODS CORPJJSF40,358$3.6M0.48%
91COMMERCIAL BANCGROUP INCCBK146,869$3.6M0.48%
92TREEHOUSE FOODS INC89469A104149,718$3.5M0.47%
93GRIFFON CORPGFF47,906$3.5M0.47%
94FIRST FINL BANKSHARES INC32020R109117,686$3.5M0.47%
95MIMEDX GROUP INCMDXG492,991$3.3M0.44%
96CHESAPEAKE UTILS CORP16530310826,559$3.3M0.44%
97M/I HOMES INCMHO25,484$3.3M0.43%
98COUSINS PPTYS INC222795502116,155$3.0M0.40%
99ACADIA PHARMACEUTICALS INCACAD104,072$2.8M0.37%
100GIBRALTAR INDS INC37468910755,950$2.8M0.37%
101ALPHABET INCGOOG8,784$2.7M0.37%
102ADVANCE AUTO PARTS INCAAP69,692$2.7M0.36%
103SCHWAB STRATEGIC TR808524201101,124$2.7M0.36%
104NVIDIA CORPORATIONNVDA13,375$2.5M0.33%
105CRESCENT ENERGY COMPANYCRGY296,617$2.5M0.33%
106APPLE INCAAPL9,008$2.4M0.33%
107VERACYTE INCVCYT50,231$2.1M0.28%
108CORMEDIX INCCRMD171,087$2.0M0.26%
109MICROSOFT CORPMSFT4,080$2.0M0.26%
110PTC THERAPEUTICS INCPTCT25,482$1.9M0.26%
111ARCUTIS BIOTHERAPEUTICS INCARQT64,499$1.9M0.25%
112AVIENT CORPORATIONAVNT53,877$1.7M0.22%
113NATURAL GAS SVCS GROUP INC63886Q10943,688$1.5M0.20%
114CALIFORNIA RES CORPCRC31,502$1.4M0.19%
115EATON CORP PLCETN4,090$1.3M0.17%
116COMSTOCK RES INCLODE54,427$1.3M0.17%
117JOHNSON & JOHNSONJNJ5,689$1.2M0.16%
118BERKSHIRE HATHAWAY INC DELBRK-A2,312$1.2M0.15%
119SCHWAB STRATEGIC TR80852410236,417$955,2180.13%
120KNOWLES CORPKN43,927$941,3560.13%
121INVESCO EXCHANGE TRADED FD TIVZ7,400$738,0060.10%
122DOVER CORPDOV3,615$705,7930.09%
123ALPHABET INCGOOG2,200$690,3600.09%
124GALLAGHER ARTHUR J & CO3635761092,300$595,2170.08%
125AMAZON COM INCAMZN2,450$565,5090.08%
126COSTCO WHSL CORP NEW22160K105606$522,5780.07%
127SIMON PPTY GROUP INC NEW8288061092,355$435,9340.06%
128PROLOGIS INC.PLDGP2,844$363,0650.05%
129UNILEVER PLCUNLYF5,333$348,7780.05%
130SCHWAB STRATEGIC TR80852484716,411$342,8260.05%
131ISHARES TR4642874653,520$338,0260.04%
132THE CIGNA GROUP1255231001,210$333,0280.04%
133EQUINIX INCEQIX429$328,6830.04%
134BROADCOM INCAVGO900$311,4900.04%
135ISHARES TR4642872262,791$278,7650.04%
136JPMORGAN CHASE & CO.VYLD851$274,2100.04%
137AMERICAN TOWER CORP NEW03027X1001,535$269,5000.04%
138PBF ENERGY INCPBF9,523$258,2640.03%
139BANK AMERICA CORP0605051044,640$255,2000.03%
140FEDERAL RLTY INVT TR NEW3137451012,349$236,7790.03%
141SPDR S&P 500 ETF TRSPY345$235,2620.03%
142ISHARES TR4642877392,350$220,6420.03%
143PALO ALTO NETWORKS INCPANW1,170$215,5140.03%
144QUANTA SVCS INC74762E102490$206,8090.03%