Trigran Investments, Inc. Portfolio Stock Holdings

Trigran Investments, Inc. disclosed 17 stock positions valued at approximately $418.2 million in its latest SEC 13F filing. The largest holdings include MATERION CORP, SYNAPTICS INC, and EXTREME NETWORKS. The filing reflects positions held as of March 31, 2026 and was filed on May 13, 2026.

Report Period
March 31, 2026
No. of Stocks
17
Portfolio Value
$418.2M
Holdings by Sector
Trigran Investments, Inc. Portfolio Holdings in Q1 2026

16 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
MATERION CORPMTRNBasic Materials11.55%333,985-124,088-27.09%$48,310,930
SYNAPTICS INCSYNATechnology10.98%655,711-36,876-5.32%$45,925,998
EXTREME NETWORKSEXTRTechnology10.27%2,847,370+561,979+24.59%$42,938,540
ENPRO INCNPOIndustrials10.19%170,043-9,004-5.03%$42,621,278
GENTHERM INCTHRMConsumer Cyclical8.96%1,348,369-114,774-7.84%$37,457,691
SONOS INCSONOTechnology7.98%2,489,163-53,235-2.09%$33,354,784
HARMONIC INCHLITTechnology6.91%3,216,835-4,566-0.14%$28,887,178
HAYWARD HLDGS INCHAYWIndustrials6.83%2,136,103+256,791+13.66%$28,581,058
MIMEDX GROUP INCMDXGHealthcare6.78%7,175,109+1,011,725+16.42%$28,341,680
RED VIOLET INCRDVTTechnology5.02%606,156+24,913+4.29%$20,972,997
BARRETT BUSINESS SVCS INCBBSIIndustrials5.01%718,390+69,652+10.74%$20,962,620
OOMA INCOOMATechnology3.21%923,264-1,024,797-52.61%$13,433,491
CORE & MAIN INCCNMIndustrials1.88%159,368+74,707+88.24%$7,872,779
AMPLITUDE INCAMPLTechnology0.62%380,526+380,526+100.00%$2,595,188
AVANOS MED INC AVNSHealthcare0.32%95,540+95,540+100.00%$1,338,515
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services0.28%2,400--$1,150,080