Kirr Marbach & Co

Kirr Marbach & Co as of March 31, 2026

Portfolio Holdings for Kirr Marbach & Co

Kirr Marbach & Co holds 57 positions in its portfolio as reported in the March 2026 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
MasTec (MTZ) 9.4 $52M 160k 321.74
Emcor (EME) 7.9 $43M 58k 738.31
Broadcom (AVGO) 5.2 $29M 93k 309.51
Alphabet Cap Stk Cl A (GOOGL) 4.7 $26M 90k 287.56
AutoZone (AZO) 4.5 $25M 7.4k 3377.78
Vistra Energy (VST) 4.5 $25M 163k 150.33
Invesco Exch Trd Slf Idx Bulshs 2026 Cb (BSCQ) 3.6 $20M 1.0M 19.53
Republic Services (RSG) 3.5 $19M 89k 219.02
Markel Corporation (MKL) 2.8 $16M 8.1k 1914.07
Invesco Exch Trd Slf Idx Bulshs 2027 Cb (BSCR) 2.8 $15M 773k 19.62
Colliers Intl Group Sub Vtg Shs (CIGI) 2.7 $15M 139k 106.89
Canadian Pacific Kansas City (CP) 2.5 $14M 171k 78.82
Invesco Exch Trd Slf Idx Invsco Blsh 28 (BSCS) 2.4 $13M 645k 20.42
Invesco Exch Trd Slf Idx Buletshs 2029 (BSCT) 2.3 $13M 680k 18.66
Ss&c Technologies Holding (SSNC) 2.3 $13M 188k 67.57
Marathon Petroleum Corp (MPC) 2.2 $12M 50k 244.18
Exxon Mobil Corporation (XOM) 2.2 $12M 71k 169.66
Invesco Exch Trd Slf Idx Invsco 30 Corp (BSCU) 2.1 $12M 689k 16.72
Royalty Pharma Shs Class A (RPRX) 2.1 $11M 238k 47.97
Dollar Tree (DLTR) 2.1 $11M 104k 109.51
Generac Holdings (GNRC) 2.1 $11M 58k 195.33
Brookfield Corp Cl A Ltd Vt Sh (BN) 2.0 $11M 274k 40.47
Api Group Corp Com Stk (APG) 2.0 $11M 273k 40.52
Moog Cl A (MOG.A) 2.0 $11M 37k 292.64
Brink's Company (BCO) 1.8 $10M 96k 103.63
Stride (LRN) 1.6 $9.0M 103k 88.17
Gxo Logistics Incorporated Common Stock (GXO) 1.6 $9.0M 173k 51.85
Invesco Exch Trd Slf Idx Buletshs 2031 Cp (BSCV) 1.5 $8.1M 491k 16.46
Live Nation Entertainment (LYV) 1.4 $7.5M 49k 152.51
Visteon Corp Com New (VC) 1.2 $6.4M 70k 91.11
ICU Medical, Incorporated (ICUI) 1.0 $5.7M 44k 129.15
CarMax (KMX) 1.0 $5.2M 126k 41.58
Amrize SHS (AMRZ) 0.9 $5.1M 91k 56.02
Standardaero (SARO) 0.9 $5.1M 196k 25.83
Bj's Wholesale Club Holdings (BJ) 0.9 $5.0M 51k 98.42
Crocs (CROX) 0.9 $4.8M 57k 83.02
Crane Holdings (CXT) 0.8 $4.6M 112k 40.59
Anterix Inc. Atex (ATEX) 0.8 $4.3M 114k 38.19
C H Robinson Worldwide In Com New (CHRW) 0.6 $3.5M 21k 166.23
Aebi Schmidt Hldg Ag F (AEBI) 0.6 $3.4M 352k 9.71
Brookfield Asset Managmt Cl A Lmt Vtg Shs (BAM) 0.5 $2.6M 59k 44.45
Peloton Interactive Cl A Com (PTON) 0.4 $2.1M 484k 4.29
Eli Lilly & Co. (LLY) 0.4 $1.9M 2.1k 919.58
Energy Transfer Com Ut Ltd Ptn (ET) 0.3 $1.9M 97k 19.30
Cummins (CMI) 0.1 $742k 1.4k 538.02
Tri-Continental Corporation (TY) 0.1 $628k 20k 31.59
Orthofix Medical (OFIX) 0.1 $453k 40k 11.47
Invesco Qqq Tr Unit Ser 1 (QQQ) 0.1 $433k 750.00 577.18
Ishares Tr Core S&p500 Etf (IVV) 0.1 $427k 654.00 653.21
Aviat Networks Com New (AVNW) 0.1 $421k 19k 22.61
Apple (AAPL) 0.1 $399k 1.6k 253.73
Skyward Specialty Insurance Gr (SKWD) 0.1 $384k 8.8k 43.68
Invesco Exchange Traded Fd T S&p500 Eql Wgt (RSP) 0.1 $345k 1.8k 191.92
Caterpillar (CAT) 0.1 $312k 440.00 708.46
Home Depot (HD) 0.1 $278k 844.00 328.89
Abbvie (ABBV) 0.0 $273k 1.3k 217.49
Amazon (AMZN) 0.0 $241k 1.2k 208.27