0001085146-24-000187.txt : 20240110
0001085146-24-000187.hdr.sgml : 20240110
20240110145748
ACCESSION NUMBER: 0001085146-24-000187
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20231231
FILED AS OF DATE: 20240110
DATE AS OF CHANGE: 20240110
EFFECTIVENESS DATE: 20240110
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Mesirow Financial Investment Management, Inc.
CENTRAL INDEX KEY: 0001469475
ORGANIZATION NAME:
IRS NUMBER: 363429599
STATE OF INCORPORATION: IL
FISCAL YEAR END: 0331
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-13776
FILM NUMBER: 24526258
BUSINESS ADDRESS:
STREET 1: 353 N. CLARK ST.
CITY: CHICAGO
STATE: IL
ZIP: 60654
BUSINESS PHONE: 312 595-6639
MAIL ADDRESS:
STREET 1: 353 N. CLARK ST.
CITY: CHICAGO
STATE: IL
ZIP: 60654
FORMER COMPANY:
FORMER CONFORMED NAME: Mesirow Financial Investment Management International Equity
DATE OF NAME CHANGE: 20090731
13F-HR
1
primary_doc.xml
X0202
13F-HR
LIVE
false
false
false
0001469475
XXXXXXXX
12-31-2023
12-31-2023
false
Mesirow Financial Investment Management, Inc.
353 N. CLARK ST.
CHICAGO
IL
60654
13F HOLDINGS REPORT
028-13776
N
Tim Ewing
Managing Director
312-595-6697
/s/ Tim Ewing
Chicago
IL
01-10-2024
0
81
25287548
false
INFORMATION TABLE
2
infotable.xml
INFORMATION TABLE
ADMA BIOLOGICS INC
COM
000899104
BBG002NCK5N4
376125
78605
SH
SOLE
78605
0
0
ADVANSIX INC
COM
00773T101
BBG00CWTTQ32
328074
11831
SH
SOLE
11831
0
0
ALLIENT INC
COM
019330109
BBG001S5RST3
293838
10513
SH
SOLE
10513
0
0
ALPHATEC HLDGS INC
COM NEW
02081G201
BBG001S64XQ8
469491
31573
SH
SOLE
31573
0
0
ALTA EQUIPMENT GROUP INC
COMMON STOCK
02128L106
BBG00NZ6JW42
300401
25361
SH
SOLE
25361
0
0
ALTI GLOBAL INC
CL A
02157E106
BBG00Z6F0ML0
254299
35666
SH
SOLE
35666
0
0
ANDERSONS INC
COM
034164103
BBG001S60FJ9
361372
6676
SH
SOLE
6676
0
0
ANI PHARMACEUTICALS INC
COM
00182C103
BBG001S9DR85
218435
3862
SH
SOLE
3862
0
0
ARTIVION INC
COM
228903100
BBG001SB3CB0
297184
16547
SH
SOLE
16547
0
0
ASPEN AEROGELS INC
COM
04523Y105
BBG001SJZK39
370476
27125
SH
SOLE
27125
0
0
AVIAT NETWORKS INC
COM NEW
05366Y201
BBG001SSSZS7
355308
11521
SH
SOLE
11521
0
0
AZZ INC
COM
002474104
BBG001S9QNK6
319083
5672
SH
SOLE
5672
0
0
BANCORP INC DEL
COM
05969A105
BBG001SM71W3
279993
7419
SH
SOLE
7419
0
0
BEL FUSE INC
CL B
077347300
BBG001S93K81
416580
6788
SH
SOLE
6788
0
0
BIOLIFE SOLUTIONS INC
COM NEW
09062W204
BBG001SFGWZ7
459297
26710
SH
SOLE
26710
0
0
BIOTE CORP
CLASS A COM
090683103
BBG00ZCMCC37
232743
48187
SH
SOLE
48187
0
0
BOWLERO CORP
CL A COM
10258P102
BBG00Z6BJ698
318113
23477
SH
SOLE
23477
0
0
BOWMAN CONSULTING GROUP LTD
COM
103002101
BBG003BPV1R9
336595
10284
SH
SOLE
10284
0
0
CADRE HLDGS INC
COM
12763L105
BBG011RK3P21
334298
10616
SH
SOLE
10616
0
0
CANTALOUPE INC
COM
138103106
BBG001S96MW7
427022
60144
SH
SOLE
60144
0
0
CECO ENVIRONMENTAL CORP
COM
125141101
BBG001S6PJV0
340260
17745
SH
SOLE
17745
0
0
CHART INDS INC
COM
16115Q308
BBG001SQV7W4
308315
2343
SH
SOLE
2343
0
0
CHEFS WHSE INC
COM
163086101
BBG001V11JN2
353971
11998
SH
SOLE
11998
0
0
CLARUS CORP NEW
COM
18270P109
BBG001SBNNC3
115422
19237
SH
SOLE
19237
0
0
COASTAL FINL CORP WA
COM NEW
19046P209
BBG001SN16N6
362591
8580
SH
SOLE
8580
0
0
COHU INC
COM
192576106
BBG001S87LQ7
300931
9056
SH
SOLE
9056
0
0
CONNECTONE BANCORP INC
COM
20786W107
BBG001S6YLR0
342693
14645
SH
SOLE
14645
0
0
CONSTRUCTION PARTNERS INC
COM CL A
21044C107
BBG00KK0CFZ7
332369
8229
SH
SOLE
8229
0
0
CTO RLTY GROWTH INC NEW
COM
22948Q101
BBG00Y3M1H68
216614
12727
SH
SOLE
12727
0
0
DMC GLOBAL INC
COM
23291C103
BBG001S5PBG6
219563
12810
SH
SOLE
12810
0
0
DUCKHORN PORTFOLIO INC
COM
26414D106
BBG00ZF3LGX4
220110
22155
SH
SOLE
22155
0
0
ESQUIRE FINL HLDGS INC
COM
29667J101
BBG003BCFHY3
301104
6273
SH
SOLE
6273
0
0
EVERI HLDGS INC
COM
30034T103
BBG001SLY556
136593
12520
SH
SOLE
12520
0
0
EXTREME NETWORKS
COM
30226D106
BBG001S6ZV24
262877
16187
SH
SOLE
16187
0
0
FULL HSE RESORTS INC
COM
359678109
BBG001S7D9G0
179071
36176
SH
SOLE
36176
0
0
GRID DYNAMICS HLDGS INC
CL A
39813G109
BBG00MDLZP15
251823
19643
SH
SOLE
19643
0
0
HARMONIC INC
COM
413160102
BBG001S73CC8
402139
31652
SH
SOLE
31652
0
0
HAYNES INTL INC
COM NEW
420877201
BBG001SL1ZT0
212067
3937
SH
SOLE
3937
0
0
HEIDRICK & STRUGGLES INTL IN
COM
422819102
BBG001SCQ2H9
282459
10375
SH
SOLE
10375
0
0
HILLMAN SOLUTIONS CORP
COM
431636109
BBG00YC6W7C4
380286
43511
SH
SOLE
43511
0
0
I3 VERTICALS INC
COM CL A
46571Y107
BBG00L32N3P6
247576
12148
SH
SOLE
12148
0
0
JANUS INTERNATIONAL GROUP IN
COMMON STOCK
47103N106
BBG0100SH2D9
317741
22712
SH
SOLE
22712
0
0
JOHNSON OUTDOORS INC
CL A
479167108
BBG001SD39D1
236650
4922
SH
SOLE
4922
0
0
LIQUIDITY SVCS INC
COM
53635B107
BBG001SLKD81
346258
20734
SH
SOLE
20734
0
0
MAYVILLE ENGR CO INC
COM
578605107
BBG001TFSDY6
370910
27888
SH
SOLE
27888
0
0
MITEK SYS INC
COM NEW
606710200
BBG001S5T6P3
331587
27472
SH
SOLE
27472
0
0
MODINE MFG CO
COM
607828100
BBG001S5T913
424124
7091
SH
SOLE
7091
0
0
NAPCO SEC TECHNOLOGIES INC
COM
630402105
BBG001S5TR13
289129
8734
SH
SOLE
8734
0
0
NERDWALLET INC
COM CL A
64082B102
BBG0087DN242
409768
29823
SH
SOLE
29823
0
0
NEWMARK GROUP INC
CL A
65158N102
BBG00J24S7X5
391505
38289
SH
SOLE
38289
0
0
NORTHEAST BK LEWISTON ME
COM
66405S100
BBG001SDS4K7
348639
6771
SH
SOLE
6771
0
0
OLD SECOND BANCORP INC ILL
COM
680277100
BBG001S7HMZ6
401598
26214
SH
SOLE
26214
0
0
OMNIAB INC
COM
68218J103
BBG011J3QM48
319153
47993
SH
SOLE
47993
0
0
ONTO INNOVATION INC
COM
683344105
BBG001S5THX0
350605
2542
SH
SOLE
2542
0
0
PAR TECHNOLOGY CORP
COM
698884103
BBG001S5VG69
287069
6966
SH
SOLE
6966
0
0
PATHWARD FINANCIAL INC
COM
59100U108
BBG001S7G4Q7
335132
6708
SH
SOLE
6708
0
0
PDF SOLUTIONS INC
COM
693282105
BBG001SFSR85
307504
10152
SH
SOLE
10152
0
0
PHX MINERALS INC
CL A
69291A100
BBG001S6G023
240944
74260
SH
SOLE
74260
0
0
PLYMOUTH INDL REIT INC
COM
729640102
BBG0021H6YT4
264738
11232
SH
SOLE
11232
0
0
PORTILLOS INC
COM CL A
73642K106
BBG012YL5W59
266211
18036
SH
SOLE
18036
0
0
PUBMATIC INC
COM CL A
74467Q103
BBG001V1C792
186739
12326
SH
SOLE
12326
0
0
RANGER ENERGY SVCS INC
COM CL A
75282U104
BBG00GSFND33
207335
21287
SH
SOLE
21287
0
0
SELECT WATER SOLUTIONS INC
CL A COM
81617J301
BBG00G4Y2F27
229382
32194
SH
SOLE
32194
0
0
SHYFT GROUP INC
COM
825698103
BBG001S5W8H4
114445
10191
SH
SOLE
10191
0
0
SILVERBOW RES INC
COM
82836G102
BBG00CTNNZ35
240964
8833
SH
SOLE
8833
0
0
SILVERCREST ASSET MGMT GROUP
CL A
828359109
BBG004HTNY81
240499
13798
SH
SOLE
13798
0
0
SKYLINE CHAMPION CORPORATION
COM
830830105
BBG001S5W456
333648
4800
SH
SOLE
4800
0
0
SKYWEST INC
COM
830879102
BBG001S5W465
303960
5953
SH
SOLE
5953
0
0
STERLING INFRASTRUCTURE INC
COM
859241101
BBG001SC9C40
394963
5169
SH
SOLE
5169
0
0
STRATUS PPTYS INC
COM NEW
863167201
BBG001S7JL59
258591
9514
SH
SOLE
9514
0
0
SYNDAX PHARMACEUTICALS INC
COM
87164F105
BBG001T92272
357656
16024
SH
SOLE
16024
0
0
TALOS ENERGY INC
COM
87484T108
BBG00JPH4JG0
236764
17869
SH
SOLE
17869
0
0
TRIUMPH FINANCIAL INC
COM
89679E300
BBG001SNKPZ0
346318
4640
SH
SOLE
4640
0
0
TWIST BIOSCIENCE CORP
COM
90184D100
BBG006KDCHK2
387393
11018
SH
SOLE
11018
0
0
UFP TECHNOLOGIES INC
COM
902673102
BBG001S79DN8
391793
2475
SH
SOLE
2475
0
0
UNIVERSAL TECHNICAL INST INC
COM
913915104
BBG001SC4X67
348652
28415
SH
SOLE
28415
0
0
VERICEL CORP
COM
92346J108
BBG001S6X9M3
360979
10137
SH
SOLE
10137
0
0
VERRA MOBILITY CORP
CL A COM STK
92511U102
BBG00G4XQBP7
386715
18380
SH
SOLE
18380
0
0
VIAD CORP
COM
92552R406
BBG001S77S57
316110
9530
SH
SOLE
9530
0
0
VITAL FARMS INC
COM
92847W103
BBG006XWWBM5
535821
34681
SH
SOLE
34681
0
0
ZETA GLOBAL HOLDINGS CORP
CL A
98956A105
BBG010FXVQB5
351995
41460
SH
SOLE
41460
0
0