HoldingsChannel.com
Brown Capital Management LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
VEEVA SYS INC 3,135,838 -341,935 $490,351
     VEEV3,135,838-341,935$490,351
TYLER TECHNOLOGIES INC 1,614,986 -239,300 $478,940
     TYL1,614,986-239,300$478,940
QUIDEL CORP 4,748,309 -869,305 $464,432
     QDEL4,748,309-869,305$464,432
NEOGEN CORP 6,657,109 -91,682 $445,960
     NEOG6,657,109-91,682$445,960
COGNEX CORP 9,347,208 -82,604 $394,639
     CGNX9,347,208-82,604$394,639
ANSYS INC 1,567,958 -145,760 $364,503
     ANSS1,567,958-145,760$364,503
PAYCOM SOFTWARE INC 1,789,598 -274,052 $361,517
     PAYC1,789,598-274,052$361,517
BALCHEM CORP 3,400,155 -38,414 $335,663
     BCPC3,400,155-38,414$335,663
ALTERYX INC 3,410,947 -265,792 $324,620
     AYX3,410,947-265,792$324,620
MANHATTAN ASSOCS INC 5,939,021 -40,989 $295,882
     MANH5,939,021-40,989$295,882
BIO TECHNE CORP 1,556,483 -84,914 $295,140
     TECH1,556,483-84,914$295,140
PROTO LABS INC 3,783,224 -5,404 $288,017
     PRLB3,783,224-5,404$288,017
Q2 HLDGS INC 4,597,333 +432,244 $271,518
     QTWO4,597,333+432,244$271,518
IRHYTHM TECHNOLOGIES INC 3,295,677 -26,987 $268,103
     IRTC3,295,677-26,987$268,103
GUIDEWIRE SOFTWARE INC 3,109,585 -108,528 $246,621
     GWRE3,109,585-108,528$246,621
ABIOMED INC 1,641,457 +11,865 $238,274
     ABMD1,641,457+11,865$238,274
HELIOS TECHNOLOGIES INC 5,675,260 -67,572 $215,206
     HLIO5,675,260-67,572$215,206
CARDIOVASCULAR SYS INC DEL 5,861,737 -7,090 $206,392
     CSII5,861,737-7,090$206,392
ALARM COM HLDGS INC 5,239,979 +254,276 $203,888
     ALRM5,239,979+254,276$203,888
APPFOLIO INC 1,816,553 +192,099 $201,547
     APPF1,816,553+192,099$201,547
PROS HOLDINGS INC 6,465,380 -61,073 $200,621
     PRO6,465,380-61,073$200,621
INOGEN INC 3,715,456 +3,619 $191,940
     INGN3,715,456+3,619$191,940
BLACKBAUD INC 3,342,042 -111,411 $185,650
     BLKB3,342,042-111,411$185,650
IRONWOOD PHARMACEUTICALS INC 17,960,849 +59,796 $181,225
     IRWD17,960,849+59,796$181,225
GLAUKOS CORP 4,604,951 +38,985 $142,109
     GKOS4,604,951+38,985$142,109
CANTEL MEDICAL CORP 3,918,178 -9,968 $140,663
     CMD3,918,178-9,968$140,663
SMARTSHEET INC 2,938,478 +1,628,968 $121,976
     SMAR2,938,478+1,628,968$121,976
VOCERA COMMUNICATIONS INC 5,362,782 -37,024 $113,905
     VCRA5,362,782-37,024$113,905
NETSCOUT SYS INC 3,997,081 -179,786 $94,611
     NTCT3,997,081-179,786$94,611
NEXTGEN HEALTHCARE INC 8,923,413 -118,161 $93,160
     NXGN8,923,413-118,161$93,160
NIC INC 3,828,960 -53,950 $88,066
     EGOV3,828,960-53,950$88,066
TANDEM DIABETES CARE INC 1,109,383 +199,391 $71,389
     TNDM1,109,383+199,391$71,389
ACI WORLDWIDE INC 2,568,138 -67,461 $62,021
     ACIW2,568,138-67,461$62,021
DMC GLOBAL INC 2,567,623 -22,566 $59,081
     BOOM2,567,623-22,566$59,081
AMERICAN SOFTWARE INC 3,842,463 -203,068 $54,601
     AMSWA3,842,463-203,068$54,601
ORTHOPEDIATRICS CORP 1,374,778 +1,374,778 $54,496
     KIDS1,374,778+1,374,778$54,496
ANAPLAN INC 1,743,580 +1,743,580 $52,761
     PLAN1,743,580+1,743,580$52,761
DATADOG INC 1,321,898 +1,321,898 $47,562
     DDOG1,321,898+1,321,898$47,562
ICON PLC 314,192 -31,568 $42,730
     ICLR314,192-31,568$42,730
CYBERARK SOFTWARE LTD 453,699 +42,587 $38,818
     CYBR453,699+42,587$38,818
QIAGEN NV 819,332 -100,467 $34,084
     QGEN819,332-100,467$34,084
MERCADOLIBRE INC 54,377 -2,470 $26,568
     MELI54,377-2,470$26,568
GW PHARMACEUTICALS PLC 290,830 +39,166 $25,468
     GWPH290,830+39,166$25,468
CHECK POINT SOFTWARE TECH LT 171,076 -159,354 $17,200
     CHKP171,076-159,354$17,200
MASIMO CORP 46,727 -14,190 $8,276
     MASI46,727-14,190$8,276
APPLE INC 24,799 -543 $6,306
     AAPL24,799-543$6,306
MICROSOFT CORP 32,139 +274 $5,069
     MSFT32,139+274$5,069
ALPHABET INC 3,217 -72 $3,738
     GOOGL3,217-72$3,738
AMAZON COM INC 1,825 +2 $3,558
     AMZN1,825+2$3,558
PRICE T ROWE GROUP INC 35,242 -248 $3,441
     TROW35,242-248$3,441

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 03/31/2020: $8,627,011
At 12/31/2019: $10,456,246

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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