HoldingsChannel.com
Brown Capital Management LLC Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
QUIDEL CORP 2,898,198 -1,850,111 $648,443
     QDEL2,898,198-1,850,111$648,443
VEEVA SYS INC 2,687,603 -448,235 $630,028
     VEEV2,687,603-448,235$630,028
ALTERYX INC 3,405,673 -5,274 $559,484
     AYX3,405,673-5,274$559,484
MANHATTAN ASSOCS INC 5,904,762 -34,259 $556,229
     MANH5,904,762-34,259$556,229
COGNEX CORP 9,275,496 -71,712 $553,933
     CGNX9,275,496-71,712$553,933
PAYCOM SOFTWARE INC 1,786,505 -3,093 $553,334
     PAYC1,786,505-3,093$553,334
TYLER TECHNOLOGIES INC 1,575,666 -39,320 $546,567
     TYL1,575,666-39,320$546,567
NEOGEN CORP 6,570,676 -86,433 $509,884
     NEOG6,570,676-86,433$509,884
APPFOLIO INC 2,635,787 +819,234 $428,869
     APPF2,635,787+819,234$428,869
PROTO LABS INC 3,747,750 -35,474 $421,509
     PRLB3,747,750-35,474$421,509
ANSYS INC 1,431,151 -136,807 $417,510
     ANSS1,431,151-136,807$417,510
BIO TECHNE CORP 1,531,250 -25,233 $404,357
     TECH1,531,250-25,233$404,357
ABIOMED INC 1,630,372 -11,085 $393,833
     ABMD1,630,372-11,085$393,833
Q2 HLDGS INC 4,577,595 -19,738 $392,712
     QTWO4,577,595-19,738$392,712
IRHYTHM TECHNOLOGIES INC 3,276,305 -19,372 $379,691
     IRTC3,276,305-19,372$379,691
ALARM COM HLDGS INC 5,627,992 +388,013 $364,750
     ALRM5,627,992+388,013$364,750
DATADOG INC 3,956,652 +2,634,754 $344,031
     DDOG3,956,652+2,634,754$344,031
GUIDEWIRE SOFTWARE INC 3,097,767 -11,818 $343,387
     GWRE3,097,767-11,818$343,387
PROS HOLDINGS INC 6,532,516 +67,136 $290,240
     PRO6,532,516+67,136$290,240
SMARTSHEET INC 5,411,477 +2,472,999 $275,552
     SMAR5,411,477+2,472,999$275,552
ANAPLAN INC 4,762,495 +3,018,915 $215,789
     PLAN4,762,495+3,018,915$215,789
BALCHEM CORP 2,072,348 -1,327,807 $196,583
     BCPC2,072,348-1,327,807$196,583
IRONWOOD PHARMACEUTICALS INC 18,798,061 +837,212 $193,996
     IRWD18,798,061+837,212$193,996
CARDIOVASCULAR SYS INC DEL 5,914,172 +52,435 $186,592
     CSII5,914,172+52,435$186,592
GLAUKOS CORP 4,682,475 +77,524 $179,901
     GKOS4,682,475+77,524$179,901
BLACKBAUD INC 2,847,994 -494,048 $162,563
     BLKB2,847,994-494,048$162,563
INOGEN INC 3,764,048 +48,592 $133,699
     INGN3,764,048+48,592$133,699
TANDEM DIABETES CARE INC 1,219,846 +110,463 $120,667
     TNDM1,219,846+110,463$120,667
CANTEL MED CORP 2,532,239 -1,385,939 $112,001
     CMD2,532,239-1,385,939$112,001
VOCERA COMMUNICATIONS INC 5,221,654 -141,128 $110,699
     VCRA5,221,654-141,128$110,699
HELIOS TECHNOLOGIES INC 2,808,196 -2,867,064 $104,605
     HLIO2,808,196-2,867,064$104,605
NETSCOUT SYS INC 3,979,236 -17,845 $101,709
     NTCT3,979,236-17,845$101,709
NEXTGEN HEALTHCARE INC 8,873,574 -49,839 $97,432
     NXGN8,873,574-49,839$97,432
DMC GLOBAL INC 2,563,785 -3,838 $70,760
     BOOM2,563,785-3,838$70,760
ORTHOPEDIATRICS CORP 1,417,395 +42,617 $62,025
     KIDS1,417,395+42,617$62,025
NIC INC 2,660,021 -1,168,939 $61,074
     EGOV2,660,021-1,168,939$61,074
AMERICAN SOFTWARE INC 3,637,414 -205,049 $57,326
     AMSWA3,637,414-205,049$57,326
MERCADOLIBRE INC 53,588 -789 $52,825
     MELI53,588-789$52,825
VERICEL CORP 3,751,168 +3,751,168 $51,841
     VCEL3,751,168+3,751,168$51,841
ICON PLC 304,990 -9,202 $51,379
     ICLR304,990-9,202$51,379
CYBERARK SOFTWARE LTD 458,209 +4,510 $45,486
     CYBR458,209+4,510$45,486
GW PHARMACEUTICALS PLC 328,739 +37,909 $40,343
     GWPH328,739+37,909$40,343
QIAGEN NV 722,375 -96,957 $30,925
     QGEN722,375-96,957$30,925
ACI WORLDWIDE INC 1,074,028 -1,494,110 $28,988
     ACIW1,074,028-1,494,110$28,988
CHECK POINT SOFTWARE TECH LT 163,805 -7,271 $17,598
     CHKP163,805-7,271$17,598
MASIMO CORP 46,589 -138 $10,622
     MASI46,589-138$10,622
APPLE INC 24,266 -533 $8,852
     AAPL24,266-533$8,852
MICROSOFT CORP 32,006 -133 $6,514
     MSFT32,006-133$6,514
SHOPIFY INC 5,311 -1,414 $5,041
     SHOP5,311-1,414$5,041
AMAZON COM INC 1,809 -16 $4,991
     AMZN1,809-16$4,991

See Full List: All Stocks Held By Brown Capital Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Brown Capital Management LLC

Size ($ in 1000's)
At 06/30/2020: $11,631,213
At 03/31/2020: $8,627,011

Brown Capital Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Brown Capital Management LLC 13F filings. Link to 13F filings: SEC filings

Brown Capital Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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