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  • Gurus
  • Value
  • PRIVATE CAPITAL MANAGEMENT, LLC (Data extracted from 13F, 13D, 13G and Form 4)

PRIVATE CAPITAL MANAGEMENT, LLC

AUM: $1.74 B
13-F Portfolio Value: $1.04 B
Last 13-F Filed: Q2 2025
Concentration in top 10: 43.1%
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Stock Company % Portfolio Shares Held Market Value Change in Shares % Change Quarter End Price Source
QNSTQuinStreet, Inc.6.45%4,154,221$66,882,95870,3751.72%$16.113F
HROWHarrow Inc.5.73%1,945,361$59,411,32554,7342.9%$30.5413F
BBSIBarrett Business Services4.62%1,147,509$47,839,6671,5800.14%$41.6913F
LNTHLantheus Holdings Inc.4.29%543,639$44,502,28919,1893.66%$81.8613F
BGCBGC Group Inc4.09%4,146,482$42,418,511147,6253.69%$10.2313F
KKRKKR & Co. Inc. Cl A4.06%316,243$42,069,74913,3964.42%$133.0313F
ECNCFECN Capital Corporation3.71%19,083,984$38,396,976251,9781.34%$2.0113F
ASURAsure Software Inc.3.67%3,901,200$38,075,712104,0882.74%$9.7613F
THTarget Hospitality Corp.3.33%4,851,439$34,542,246-201,804-3.99%$7.1213F
JPMJP Morgan Chase & Co.3.15%112,701$32,673,120-1,251-1.1%$289.9113F
PERIPerion Network Ltd.3.15%3,212,903$32,610,965134,7644.38%$10.1513F
SECYFSecure Waste Infrastructure Corp2.91%2,642,085$30,119,769350,57515.3%$11.413F
AIOTPowerFleet, Inc.2.8%6,743,413$29,064,110-2,300-0.03%$4.3113F
IIIInformation Services Group2.65%5,718,825$27,450,359-150,415-2.56%$4.813F
MPAAMotorcar Parts of America, Inc.2.62%2,424,546$27,154,920-77,000-3.08%$11.213F
LGNDLigand Pharmaceuticals2.52%229,253$26,061,48181,12854.77%$113.6813F
JEFJefferies Financial Group Inc.2.23%421,669$23,061,05423,2105.82%$54.6913F
SNEXStoneX Group Inc.2.19%249,238$22,715,551-29,580-10.61%$91.1413F
IWGFFInternational Workplace Group2.15%7,769,295$22,297,877497,4706.84%$2.8713F
SNVSynovus Financial Corp.1.96%392,915$20,333,332100,82534.52%$51.7513F
SMBKSmartFinancial Inc.1.75%537,446$18,154,91519,5553.78%$33.7813F
LAKELakeland Industries Inc.1.52%1,155,073$15,720,544158,20015.87%$13.6113F
FAFFirst American Financial Corp.1.36%229,028$14,060,029229,028New$61.3913F
ACNBACNB Corporation1.3%314,513$13,473,73742,91715.8%$42.8413F
ATROAstronics Corporation1.3%402,543$13,477,140-415-0.1%$33.4813F
TROXTronox Holdings PLC1.2%2,444,285$12,392,526-17,555-0.71%$5.0713F
IBMInternational Business Machines Corp.1.05%36,901$10,877,75524,419195.63%$294.7813F
ASLEAerSale Corp.0.97%1,679,082$10,091,28322,3401.35%$6.0113F
MSFTMicrosoft Corporation (Put)0.96%20,000$9,948,20020,000New$497.4113F
SEATVivid Seats Inc.0.89%5,467,839$9,240,6485,467,839New$1.6913F
RJFRaymond James Financial, Inc.0.87%58,445$8,963,633-49-0.08%$153.3713F
PLTRPalantir Technologies Inc.0.8%60,461$8,242,008-450-0.74%$136.3213F
GOOGLAlphabet Inc. Cl A0.7%41,005$7,226,3312,6506.91%$176.2313F
PFEPfizer Inc. (Call)0.61%260,000$6,302,400135,000108%$24.2413F
HTBHometrust Bancshares Inc0.58%159,941$5,983,393101,137171.99%$37.4113F
SPYStandard & Poor's Depositary Receipts0.57%9,484$5,859,811-133-1.38%$617.8613F
SJMJ.M. Smucker Company (Call)0.52%55,000$5,401,00055,000New$98.213F
SSBKSouthern States Bancshares0.5%143,044$5,202,5106900.48%$36.3713F
MSFTMicrosoft Corp0.45%9,389$4,670,362-697-6.91%$497.4313F
VIGVanguard Dividend Appreciation Indx ETF0.44%22,226$4,548,9301880.85%$204.6713F
GOOGAlphabet Inc. Cl C0.43%24,837$4,405,835No Change$177.3913F
PBFSPioneer Bancorp0.42%358,697$4,315,12598,79338.01%$12.0313F
NOBLProShares S&P 500 Dividend Aristocrats0.4%41,256$4,154,436-895-2.12%$100.713F
FNWBFirst Northwest Bancorp0.39%523,849$4,033,638-16,367-3.03%$7.713F
DONWisdomTree US Mid-Cap Div Fund0.39%79,629$3,991,024-1,034-1.28%$50.1213F
AAPLApple, Inc.0.34%16,949$3,477,353-1,036-5.76%$205.1713F
CEFSSaba Closed-End Funds ETF0.34%158,063$3,515,31235,34428.8%$22.2413F
PEPPepsico, Inc.0.33%26,060$3,440,96224,2551343.77%$132.0413F
IVViShares Core S&P 5000.3%5,019$3,116,328-335-6.26%$620.9113F
PEPPepsiCo, Inc. (Put)0.29%22,500$2,970,90022,500New$132.0413F
PAYXPaychex, Inc. (Call)0.28%20,000$2,909,20020,000New$145.4613F
WTPIWisdomTree Equity Premium Income Fund0.28%89,423$2,865,1102,0242.32%$32.0413F
AMZNAmazon.com0.27%12,641$2,773,3091901.53%$219.3913F
GEVGE Vernova Inc. (Put)0.26%5,000$2,645,7505,000New$529.1513F
IJHiShares Core S&P Mid Cap ETF0.26%43,799$2,716,440-30-0.07%$62.0213F
CVXChevron Corporation0.22%15,885$2,274,524-10-0.06%$143.1913F
XLUUtilities Select Sector SPDR0.22%28,158$2,299,395-57-0.2%$81.6613F
PFEPfizer, Inc.0.2%86,492$2,096,56410,00813.09%$24.2413F
TGTTarget Corp.0.2%20,551$2,027,3324,67529.45%$98.6513F
CLXClorox Co.0.19%16,400$1,969,1487,50084.27%$120.0713F
NVDANVIDIA Corporation (Put)0.19%12,500$1,974,87512,500New$157.9913F
CPBCampbell Soup Co.0.18%61,800$1,894,17025,50070.25%$30.6513F
HPHelmerich & Payne, Inc. (Call)0.18%120,000$1,819,200120,000New$15.1613F
PZZAPapa John's International0.18%38,800$1,898,87238,800New$48.9413F
LNTHLantheus Holdings Inc (Call)0.17%21,000$1,719,06011,200114.29%$81.8613F
STZConstellation Brands, Inc. Class A (Call)0.16%10,000$1,626,80010,000New$162.6813F
HROWHarrow, Inc. (Call)0.16%53,500$1,633,89010,00022.99%$30.5413F
HFROPRAHighland Opportunities & Income Fund0.16%100,842$1,619,5235500.55%$16.0613F
MAMastercard Incorporated0.16%2,866$1,610,380No Change$561.8913F
XLEEnergy Select Sector SPDR Fund (Call)0.16%20,000$1,696,20020,000New$84.8113F
PYPLPaypal Holdings Inc.0.15%20,700$1,538,4242,00010.7%$74.3213F
PSXPhillips 660.15%13,399$1,598,5332021.53%$119.313F
DGXQuest Diagnostics, Inc.0.15%8,400$1,508,892-2,000-19.23%$179.6313F
SCHFSchwab International Equity ETF0.15%72,468$1,601,540-1,397-1.89%$22.113F
XLEEnergy Select Sector SPDR0.15%18,820$1,596,130-48-0.25%$84.8113F
HPHelmerich & Payne0.14%95,000$1,440,20036,00061.02%$15.1613F
QQQInvesco QQQ Trust Series 10.14%2,682$1,479,67727611.47%$551.7113F
NTRNutrien Ltd.0.14%24,787$1,443,568No Change$58.2413F
QNSTQuinStreet, Inc. (Call)0.14%90,000$1,449,0005,0005.88%$16.113F
QCOMQualcomm, Inc.0.13%8,755$1,394,3144,450103.37%$159.2613F
BNDVanguard Total Bond Market Indx ETF0.13%18,446$1,358,1523,35422.22%$73.6313F
TGTTarget Corporation (Call)0.13%14,000$1,381,1007,000New$98.6513F
FEFirstEnergy Corp.0.12%29,727$1,196,813-5,400-15.37%$40.2613F
BFBBrown-Forman Corporation Class B (Call)0.11%43,000$1,157,13043,000New$26.9113F
FASDirexion Financial Bull 3X Shs0.11%7,000$1,180,200No Change$168.613F
EQWLInvesco S&P 100 Equal Weight ETF0.11%10,103$1,111,0321,00911.1%$109.9713F
KDPKeurig Dr Pepper Inc0.11%33,900$1,120,734No Change$33.0613F
NVDANvidia Corporation0.11%7,386$1,166,914-90-1.2%$157.9913F
BTUPeabody Energy Corporation (Call)0.11%87,600$1,175,592-50,000-36.34%$13.4213F
CFCF Industries Holdings Inc.0.1%11,444$1,052,80920.02%$9213F
METAMeta Platforms, Inc.0.1%1,365$1,007,534-2-0.15%$738.1213F
HDHome Depot Inc.0.1%2,916$1,069,067-3-0.1%$366.6213F
TAPMolson Coors Brewing Company0.1%21,700$1,043,55321,700New$48.0913F
BTUPeabody Energy Corp0.1%74,788$1,003,655-35,000-31.88%$13.4213F
TQQQProShares UltraPro QQQ0.1%12,500$1,037,5006,500108.33%$8313F
TSCOTractor Supply Co.0.1%18,700$986,7994,50031.69%$52.7713F
QQQEDirexion NASDAQ-100 Equal Weighted ETF0.09%9,966$979,7295926.32%$98.3113F
SJMJM Smucker Company0.09%9,200$903,44090010.84%$98.213F
TTETotalEnergies SE Sponsored ADR (Call)0.09%15,000$920,850No Change$61.3913F
PFEPfizer Inc. (Put)0.08%35,500$860,520No Change$24.2413F
SHELShell PLC Spon ADS0.07%10,500$739,305No Change$70.4113F
SOSouthern Co.0.07%8,122$745,826No Change$91.8313F
VYMVanguard High Dividend Yield Index Fd ETF0.07%5,441$725,3851993.8%$133.3213F
VEUVanguard FTSE All World Ex US ETF0.07%10,205$685,986-385-3.64%$67.2213F
IWMiShares Russell 2000 Index ETF0.06%3,075$663,554-862-21.89%$215.7913F
VUGVanguard Growth Indx Fd ETF0.06%1,352$592,717282.11%$438.413F
HONHoneywell International Inc.0.05%2,046$476,490No Change$232.8913F
RRCRange Resources0.05%13,000$528,7102,50023.81%$40.6713F
DIADow Jones Indl Average SPDR ETF0.05%1,200$528,780No Change$440.6513F
XLVHealthcare Select Sector SPDR0.05%3,528$475,571-41-1.15%$134.813F
TMOThermo Fisher Scientific Inc.0.05%1,396$566,022No Change$405.4613F
VCITVanguard Intermediate Term Corp. Bond ETF0.05%6,580$545,599-679-9.35%$82.9213F
VOOVanguard S&P 500 Indx Fd ETF0.05%836$474,689No Change$567.8113F
WMTWalmart, Inc.0.05%5,756$562,797-16-0.28%$97.7813F
ZBRAZebra Technologies0.05%1,725$531,921No Change$308.3613F
BACBank of America Corp.0.04%8,953$423,64210.01%$47.3213F
XOMExxon Mobil Corp.0.04%4,276$460,981390.92%$107.8113F
IJRiShares Core S&P Small Cap ETF0.04%3,840$419,7082015.52%$109.313F
IEMGiShares Core MSCI Emerging Markets0.04%6,307$378,591-254-3.87%$60.0313F
LMTLockheed Martin Corp.0.04%878$406,605No Change$463.113F
KRES&P Regional Banking SPDR0.04%6,700$397,9131,20021.82%$59.3913F
XLFFinancials Select Sector SPDR0.04%8,096$423,980-120-1.46%$52.3713F
WMWaste Management0.04%1,925$440,407-186-8.81%$228.7813F
ABBVAbbvie Inc.0.03%1,491$276,725-16-1.06%$185.613F
BLKBlackrock Inc.0.03%325$340,733No Change$1048.4113F
CLFCFTIS Enhanced Liquid Income Offshore Fund0.03%344,659$344,659-11,884-3.33%$113F
CMPCompass Minerals International, Inc.0.03%17,000$341,530-42,500-71.43%$20.0913F
TNADirexion Daily Small Cap Bull 3X Shs0.03%10,000$335,40010,000New$33.5413F
DUKDuke Energy Corp.0.03%2,737$323,014No Change$118.0213F
EVRIEveri Holdings, Inc.0.03%24,660$351,158-322,965-92.91%$14.2413F
IXUSiShares Core MSCI Total Int'l Stock ETF0.03%4,379$338,5691262.96%$77.3213F
DGROiShares Core Dividend Growth ETF0.03%4,086$261,284741.84%$63.9513F
PAYXPaychex, Inc.0.03%2,317$337,0352,317New$145.4613F
RELIReliance Global Group0.03%148,532$277,755148,532New$1.8713F
RKTRocket Companies, Inc. Class A (Call)0.03%20,000$283,60020,000New$14.1813F
RKTRocket Companies, Inc. Class A (Put)0.03%20,000$283,60020,000New$14.1813F
XLKTechnology Sector SPDR0.03%1,110$281,085No Change$253.2313F
SEMRSEMrush Holdings, Inc. Class A (Call)0.03%40,000$362,00040,000New$9.0513F
VOVanguard Mid-Cap Index Fund0.03%969$271,155No Change$279.8313F
VTIVanguard Index Fund ETF0.03%1,089$330,980No Change$303.9313F
VVisa Inc.0.03%741$263,069No Change$355.0213F
ACNAccenture PLC0.03%1,132$338,343No Change$298.8913F
TROXTronox Holdings Plc (Call)0.03%60,000$304,20060,000New$5.0713F
ADBEAdobe Systems Inc.0.02%603$233,289603New$386.8813F
AVGOBroadcom Inc.0.02%902$248,694902New$275.7113F
CCChemours0.02%14,000$160,300No Change$11.4513F
CIBRFirst Trust NASDAQ CyberSecurity ETF0.02%3,135$236,9433,135New$75.5813F
INTUIntuit0.02%262$206,235262New$787.1613F
IWBiShares Russell 1000 Index Fund ETF0.02%708$240,568No Change$339.7913F
IHEiShares US Pharmaceuticals ETF0.02%3,425$224,475No Change$65.5413F
IEFAiShares Core MSCI EAFE ETF0.02%2,935$245,016521.8%$83.4813F
IBITiShares Bitcoin Trust ETF0.02%3,500$214,2353,500New$61.2113F
AMJBJP Morgan Chase Fin'l Co LLC Alerian0.02%7,694$232,819-215-2.72%$30.2613F
KHCKraft Heinz Company0.02%9,000$232,3809,000New$25.8213F
TREELendingTree Inc.0.02%6,500$240,9556,500New$37.0713F
MDYSPDR S&P MidCap 400 ETF Trust0.02%385$218,095No Change$566.4813F
SCHESchwab Strategic Tr Emerging Mkts Eqty ETF0.02%8,332$251,13760.07%$30.1413F
VWOVanguard FTSE Emerging Markets ETF0.02%4,679$231,400-125-2.6%$49.4613F
TTETotal Energies SE0.02%4,164$255,628No Change$61.3913F
RMTRoyce Micro Cap Closed Fund0.01%11,834$109,46311,834New$9.2513F
DIASPDR Dow Jones Industrial Average ETF Trust (Put)0.00851%200$88,130-500-71.43%$440.6513F
CMPCompass Minerals International, Inc. (Put)0.0064%3,300$66,297No Change$20.0913F
IWMiShares Russell 2000 ETF (Put)0.00417%200$43,158-200-50%$215.7913F
GOOGAlphabet Inc. Class C (Call)-8,500Exited13F
GOOGLAlphabet Inc. Class A (Put)-8,500Exited13F
AEPAmerican Electric Power-6,750Exited13F
BRKBBerkshire Hathaway Inc. Cl B-414Exited13F
CMPCompass Minerals International, Inc. (Call)-42,500Exited13F
TNADirexion Daily Small Cap Bull 3x Shares (Call)-50,000Exited13F
IIIInformation Services Group, Inc. (Call)-50,000Exited13F
AGGiShares Core US Aggregate Bond ETF-2,077Exited13F
JNJJohnson & Johnson-1,293Exited13F
NFGNational Fuel Gas Co.-10,900Exited13F
BTUPeabody Energy Corporation (Put)-55,000Exited13F
TGTTarget Corporation (Put)-7,000Exited13F
REALRealReal Inc.-22,500Exited13F
UNHUnitedHealth Group-391Exited13F
SEATVivid Seats Inc.-5,258,129Exited13F
SEATVivid Seats Inc. Class A (Call)-40,000Exited13F