HoldingsChannel.com
EAM Investors LLC Top Holdings
As of  06/30/2023, below is a summary of the EAM Investors LLC top holdings by largest position size, as per the latest 13f filing made by EAM Investors LLC. In the EAM Investors LLC-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by EAM Investors LLC in that top holding, then the share count change between reporting periods, and finally the EAM Investors LLC top holding position size for that row.

   EntityAmountChange
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
Applied Digital Corp 774,423 +774,423 $7,241
     APLD774,423+774,423$7,241
RxSight Inc 221,415 +49,536 $6,377
     RXST221,415+49,536$6,377
Arlo Technologies Inc 543,039 +289,195 $5,925
     ARLO543,039+289,195$5,925
UFP Technologies Inc 29,001 -22,328 $5,622
     UFPT29,001-22,328$5,622
Bel Fuse Inc 94,862 +43,953 $5,446
     BELFB94,862+43,953$5,446
Weave Communications Inc 416,392 +416,392 $4,626
     WEAV416,392+416,392$4,626
Applied Optoelectronics Inc 757,304 +757,304 $4,514
     AAOI757,304+757,304$4,514
Limbach Holdings Inc 177,303 -24,685 $4,385
     LMB177,303-24,685$4,385
Powell Industries Inc 72,287 -14,205 $4,380
     POWL72,287-14,205$4,380
inTEST Corp 161,339 -12,356 $4,237
     INTT161,339-12,356$4,237
89bio Inc 216,438 -69,982 $4,102
     ETNB216,438-69,982$4,102
Silver Lake Management LLC 140,973 +140,973 $4,090
     SGH140,973+140,973$4,090
Cymabay Therapeutics Inc 372,624 +56,030 $4,080
     CBAY372,624+56,030$4,080
Beazer Homes USA Inc 140,076 +140,076 $3,963
     BZH140,076+140,076$3,963
Aehr Test Systems 92,162 -23 $3,802
     AEHR92,162-23$3,802
Remitly Global Inc 200,816 UNCH $3,779
     RELY200,816UNCH$3,779
WW International Inc 560,035 +560,035 $3,763
     WW560,035+560,035$3,763
Axcelis Technologies Inc 20,485 -8,705 $3,756
     ACLS20,485-8,705$3,756
Extreme Networks Inc 142,027 +142,027 $3,700
     EXTR142,027+142,027$3,700
SI BONE Inc 136,957 +136,957 $3,695
     SIBN136,957+136,957$3,695
ImmunoGen Inc 192,519 +192,519 $3,633
     IMGN192,519+192,519$3,633
MiMedx Group Inc 549,333 +549,333 $3,631
     MDXG549,333+549,333$3,631
Red Robin Gourmet Burgers Inc 260,833 -80,538 $3,607
     RRGB260,833-80,538$3,607
Preformed Line Products Co 23,092 +1,233 $3,605
     PLPC23,092+1,233$3,605
Harmonic Inc 222,718 +222,718 $3,601
     HLIT222,718+222,718$3,601
TransMedics Group Inc 42,081 -6,165 $3,534
     TMDX42,081-6,165$3,534
Innodata Inc 309,346 +309,346 $3,505
     INOD309,346+309,346$3,505
Tactile Systems Technology Inc 140,102 +140,102 $3,493
     TCMD140,102+140,102$3,493
M I Homes Inc 39,432 +39,432 $3,438
     MHO39,432+39,432$3,438
Cantaloupe Inc 429,254 +429,254 $3,417
     CTLP429,254+429,254$3,417
Prothena Corp PLC 49,656 +13,500 $3,391
     PRTA49,656+13,500$3,391
Shake Shack Inc 42,725 +42,725 $3,321
     SHAK42,725+42,725$3,321
Integral Ad Science Holding Corp 182,380 -16,257 $3,279
     IAS182,380-16,257$3,279
Vita Coco Co Inc The 121,849 -37,187 $3,274
     COCO121,849-37,187$3,274
ADMA Biologics Inc 883,842 -151,910 $3,261
     ADMA883,842-151,910$3,261
InterDigital Inc 33,765 +33,765 $3,260
     IDCC33,765+33,765$3,260
Tri Pointe Homes Inc 98,692 +98,692 $3,243
     TPH98,692+98,692$3,243
MYR Group Inc 23,014 +13,103 $3,184
     MYRG23,014+13,103$3,184
RadNet Inc 97,600 +16,051 $3,184
     RDNT97,600+16,051$3,184
FTAI Aviation Ltd 99,694 UNCH $3,156
     FTAI99,694UNCH$3,156
Modine Manufacturing Co 95,414 -38,114 $3,151
     MOD95,414-38,114$3,151
SkyWest Inc 77,272 +77,272 $3,147
     SKYW77,272+77,272$3,147
Schrodinger Inc United States 62,704 +62,704 $3,130
     SDGR62,704+62,704$3,130
Astronics Corp 156,455 +48 $3,107
     ATRO156,455+48$3,107
Itron Inc 42,673 +42,673 $3,077
     ITRI42,673+42,673$3,077
Cimpress PLC 51,690 +51,690 $3,075
     CMPR51,690+51,690$3,075
LeMaitre Vascular Inc 45,439 +45,439 $3,057
     LMAT45,439+45,439$3,057
Verra Mobility Corp 154,039 +154,039 $3,038
     VRRM154,039+154,039$3,038
Advent International Corp 155,061 +86,585 $3,033
     SOVO155,061+86,585$3,033
Consolidated Water Co Ltd 124,892 +124,892 $3,026
     CWCO124,892+124,892$3,026

See Full List: All Stocks Held By EAM Investors LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By EAM Investors LLC

Size ($ in 1000's)
At 06/30/2023: $539,830
At 03/31/2023: $623,330

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

EAM Investors LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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