CIK 1735057
Versant Capital Management, Inc
Institutional 13F holdings & portfolio
Holdings
2,639
Portfolio Value
$797.10M
Latest Report
Dec 31, 2025
Report Periods
6
Holdings
13F filings as of Dec 31, 2025 · Showing 1701–1750 of 2,639
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| WK | WORKIVA INC COM CL A | 210 | $18K | SH |
| IBTA | IBOTTA INC CLASS A COM SHS | 796 | $18K | SH |
| MGTX | MEIRAGTX HLDGS PLC COM | 2K | $18K | SH |
| ATRO | ASTRONICS CORP COM | 333 | $18K | SH |
| RDVT | RED VIOLET INC COM | 317 | $18K | SH |
| FSV | FIRSTSERVICE CORP NEW COM | 116 | $18K | SH |
| UTHR | UNITED THERAPEUTICS CORP DEL | 37 | $18K | SH |
| PDN | INVESCO RAFI DEVELOPED MARKETS EX-U.S. SMALL-MID ETF | 427 | $18K | SH |
| YEXT | YEXT INC COM | 2K | $18K | SH |
| SAIC | SCIENCE APPLICATIONS INTERNA | 178 | $18K | SH |
| SHO | SUNSTONE HOTEL INVESTORS REIT | 2K | $18K | SH |
| PGY | PAGAYA TECHNOLOGIES LTD CL A NEW | 852 | $18K | SH |
| UPST | UPSTART HLDGS INC COM | 407 | $18K | SH |
| CRVL | CORVEL CORP | 263 | $18K | SH |
| MHO | M/I HOMES INC | 139 | $18K | SH |
| SNDX | SYNDAX PHARMACEUTICALS INC COM | 844 | $18K | SH |
| LRN | STRIDE INC COM | 273 | $18K | SH |
| CLDX | CELLDEX THERAPEUTICS INC NEW COM NEW | 652 | $18K | SH |
| ASTH | ASTRANA HEALTH INC COM NEW | 710 | $18K | SH |
| SATS | ECHOSTAR HOLDING CORP | 162 | $18K | SH |
| KRYS | KRYSTAL BIOTECH INC COM | 71 | $18K | SH |
| UCTT | ULTRA CLEAN HOLDINGS INC | 691 | $18K | SH |
| OEF | ISHARES S&P 100 ETF | 51 | $17K | SH |
| HOV | HOVNANIAN ENTERPRISEINC CL A | 179 | $17K | SH |
| WINA | WINMARK CORP COM | 43 | $17K | SH |
| ARLO | ARLO TECHNOLOGIES INC COM | 1K | $17K | SH |
| TBCH | TURTLE BEACH CORP COM NEW | 1K | $17K | SH |
| GXO | GXO LOGISTICS INCORPORATED COMMON STOCK | 329 | $17K | SH |
| HAYW | HAYWARD HLDGS INC COM | 1K | $17K | SH |
| APGE | APOGEE THERAPEUTICS INC COM | 229 | $17K | SH |
| EEM | ISHARES MSCI EMERGING MARKETS ETF | 315 | $17K | SH |
| MDU | MDU RES GROUP INC COM | 882 | $17K | SH |
| FBP | FIRST BANCORP F | 830 | $17K | SH |
| MPW | MEDICAL PROPERTIES TRUST INC | 3K | $17K | SH |
| ASGN | ON ASSIGNMENT INC | 355 | $17K | SH |
| LXP | LEXINGTON CORP PPTYS TR | 344 | $17K | SH |
| ONON | ON HLDG AG NAMEN AKT A | 365 | $17K | SH |
| PDM | PIEDMONT OFFICE RLTYTR INC COM CL A | 2K | $17K | SH |
| GFL | GFL ENVIRONMENTAL INC SUB VTG SHS | 394 | $17K | SH |
| CHTR | CHARTER COMMUNICATIONS INC NEW CL A | 81 | $17K | SH |
| KNSL | KINSALE CAP GROUP INC COM | 43 | $17K | SH |
| GEO | GEO GROUP INC | 1K | $17K | SH |
| DYN | DYNE THERAPEUTICS INC COM | 859 | $17K | SH |
| CNS | COHEN & STEERS INC COM | 266 | $17K | SH |
| FMBH | FIRST MID ILL BANCSHARES INC COM | 428 | $17K | SH |
| GPOR | GULFPORT ENERGY CORP COMMON SHARES | 80 | $17K | SH |
| LUMN | LUMEN TECHNOLOGIES INC COM | 2K | $17K | SH |
| KALV | KALVISTA PHARMACEUTICALS INC COM | 1K | $17K | SH |
| ITOT | ISHARES CORE S&P TOTAL U.S. STOCK MARKET ETF | 111 | $17K | SH |
| GBTG | GLOBAL BUSINESS TRAVEL GROUP COM CL A | 2K | $16K | SH |