HoldingsChannel.com
Conestoga Capital Advisors LLC Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
EXPONENT INC 2,383,796 -19,416 $164,506
     EXPO2,383,796-19,416$164,506
DESCARTES SYS GROUP INC 3,475,860 -41,135 $148,489
     DSGX3,475,860-41,135$148,489
OMNICELL INC 1,577,744 -3,162 $128,933
     OMCL1,577,744-3,162$128,933
CANTEL MEDICAL CORP 1,676,203 -19,203 $118,843
     CMD1,676,203-19,203$118,843
REPLIGEN CORP 1,265,334 -13,645 $117,043
     RGEN1,265,334-13,645$117,043
MESA LABS INC 446,607 -4,141 $111,384
     MLAB446,607-4,141$111,384
FOX FACTORY HLDG CORP 1,585,074 -21,645 $110,274
     FOXF1,585,074-21,645$110,274
TREX CO INC 1,208,020 -12,360 $108,577
     TREX1,208,020-12,360$108,577
DOUGLAS DYNAMICS INC 1,953,075 -17,759 $107,419
     PLOW1,953,075-17,759$107,419
SIMPSON MANUFACTURING CO INC 1,315,681 -365,262 $105,557
     SSD1,315,681-365,262$105,557
BOTTOMLINE TECH DEL INC 1,948,897 -19,951 $104,461
     EPAY1,948,897-19,951$104,461
NEOGEN CORP 1,574,090 -4,888 $102,725
     NEOG1,574,090-4,888$102,725
ACI WORLDWIDE INC 2,673,319 -18,015 $101,279
     ACIW2,673,319-18,015$101,279
PROS HOLDINGS INC 1,625,336 -10,861 $97,390
     PRO1,625,336-10,861$97,390
SITEONE LANDSCAPE SUPPLY INC 1,012,922 -4,873 $91,821
     SITE1,012,922-4,873$91,821
TYLER TECHNOLOGIES INC 304,100 -6,278 $91,236
     TYL304,100-6,278$91,236
MERCURY SYS INC 1,264,351 +5,952 $87,379
     MRCY1,264,351+5,952$87,379
ESCO TECHNOLOGIES INC 937,241 -230,588 $86,695
     ESE937,241-230,588$86,695
NOVANTA INC 956,469 +149,916 $84,590
     NOVT956,469+149,916$84,590
PAYLOCITY HLDG CORP 683,662 -7,694 $82,600
     PCTY683,662-7,694$82,600
BALCHEM CORP 810,293 -9,172 $82,350
     BCPC810,293-9,172$82,350
BLACKBAUD INC 1,017,758 -11,120 $81,014
     BLKB1,017,758-11,120$81,014
AAON INC 1,610,056 -11,737 $79,553
     AAON1,610,056-11,737$79,553
BLACKLINE INC 1,529,394 +380,175 $78,856
     BL1,529,394+380,175$78,856
GRAND CANYON ED INC 808,365 -3,668 $77,433
     LOPE808,365-3,668$77,433
CHEFS WHSE INC 1,972,675 +601,511 $75,179
     CHEF1,972,675+601,511$75,179
SPS COMMERCE INC 1,302,973 -7,360 $72,211
     SPSC1,302,973-7,360$72,211
BIO TECHNE CORP 321,632 -3,367 $70,601
     TECH321,632-3,367$70,601
ALTAIR ENGR INC 1,936,877 +337,247 $69,553
     ALTR1,936,877+337,247$69,553
HELIOS TECHNOLOGIES INC 1,494,907 -27,920 $69,110
     HLIO1,494,907-27,920$69,110
ROGERS CORP 554,046 -7,673 $69,106
     ROG554,046-7,673$69,106
JOHN BEAN TECHNOLOGIES CORP 596,048 +3,237 $67,151
     JBT596,048+3,237$67,151
CASELLA WASTE SYS INC 1,448,450 -25 $66,672
     CWST1,448,450-25$66,672
ALBANY INTL CORP 863,661 -2,649 $65,569
     AIN863,661-2,649$65,569
FIRSTSERVICE CORP NEW 699,908 +10,143 $65,119
     FSV699,908+10,143$65,119
LIGAND PHARMACEUTICALS INC 619,653 -13,041 $64,624
     LGND619,653-13,041$64,624
VOCERA COMMUNICATIONS INC 3,007,989 -31,603 $62,446
     VCRA3,007,989-31,603$62,446
LEMAITRE VASCULAR INC 1,715,446 -7,709 $61,670
     LMAT1,715,446-7,709$61,670
AXON ENTERPRISE INC 836,411 +9,206 $61,292
     AAXN836,411+9,206$61,292
DORMAN PRODUCTS INC 806,523 -11,370 $61,070
     DORM806,523-11,370$61,070
RBC BEARINGS INC 378,676 -70 $59,960
     ROLL378,676-70$59,960
MGP INGREDIENTS INC NEW 1,203,946 -25,504 $58,331
     MGPI1,203,946-25,504$58,331
PROTO LABS INC 564,689 -7,556 $57,344
     PRLB564,689-7,556$57,344
MERIT MED SYS INC 1,836,352 -209,535 $57,331
     MMSI1,836,352-209,535$57,331
WD 40 CO 259,668 -3,788 $50,412
     WDFC259,668-3,788$50,412
NATIONAL RESH CORP 614,957 -7,573 $40,550
     NRC614,957-7,573$40,550
OMEGA FLEX INC 348,619 +239,248 $37,403
     OFLX348,619+239,248$37,403
CONSTRUCTION PARTNERS INC 2,140,403 +37,838 $36,109
     ROAD2,140,403+37,838$36,109
FIVE9 INC 495,279 -5,313 $32,480
     FIVN495,279-5,313$32,480
EVI INDUSTRIES INC 805,021 +207,874 $21,768
     EVI805,021+207,874$21,768

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

See Details: Top 10 Stocks Held By Conestoga Capital Advisors LLC

Size ($ in 1000's)
At 12/31/2019: $4,154,474
At 09/30/2019: $3,907,547

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

Conestoga Capital Advisors LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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