HoldingsChannel.com
Emerald Advisers LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
CHEGG INC 1,831,736 -35,750 $70,687
     CHGG1,831,736-35,750$70,687
RAPID7 INC 888,389 -28,610 $51,384
     RPD888,389-28,610$51,384
TREX INC 705,680 +4,586 $50,597
     TREX705,680+4,586$50,597
PLANET FITNESS INC 668,703 -98,325 $48,441
     PLNT668,703-98,325$48,441
KRATOS DEFENSE AND SECURITY 2,025,741 -26,849 $46,369
     KTOS2,025,741-26,849$46,369
FIVE BELOW 385,625 -26,227 $46,283
     FIVE385,625-26,227$46,283
CIENA CORP 1,088,339 -13,280 $44,763
     CIEN1,088,339-13,280$44,763
LENDINGTREE INC 103,137 -2,290 $43,321
     TREE103,137-2,290$43,321
NEOGENOMICS INC 1,951,061 +72,160 $42,806
     NEO1,951,061+72,160$42,806
CADENCE BANCORP 1,987,362 +48,662 $41,337
     CADE1,987,362+48,662$41,337
TRINET GROUP IN 594,019 -7,091 $40,274
     TNET594,019-7,091$40,274
FRESHPET INC 883,621 +1,420 $40,214
     FRPT883,621+1,420$40,214
VARONIS SYSTEMS INC 643,820 -10,327 $39,878
     VRNS643,820-10,327$39,878
TELADOC HEALTH INC 598,633 -12,377 $39,755
     TDOC598,633-12,377$39,755
TETRA TECH INC 494,955 -5,162 $38,879
     TTEK494,955-5,162$38,879
TANDEM DIABETES CARE INC 587,660 -5,180 $37,916
     TNDM587,660-5,180$37,916
CHURCHILL DOWNS INC 321,827 -1,180 $37,033
     CHDN321,827-1,180$37,033
REATA PHARMACEUTICALS INC 387,369 -4,720 $36,548
     RETA387,369-4,720$36,548
SEAWORLD ENTERTAINMENT 1,166,170 -10,089 $36,151
     SEAS1,166,170-10,089$36,151
MERCURY SYSTEMS INC 507,262 -19,659 $35,686
     MRCY507,262-19,659$35,686
SIMPLY GOOD FOODS CO 1,433,355 +174,110 $34,515
     SMPL1,433,355+174,110$34,515
INTEGER HOLDINGS CORP 408,969 +32,586 $34,321
     ITGR408,969+32,586$34,321
FORESCOUT TECHNOLOGIES INC 994,511 +26,211 $33,674
     FSCT994,511+26,211$33,674
VONAGE HOLDINGS CORP 2,905,906 -472,083 $32,924
     VG2,905,906-472,083$32,924
HORIZON THERAPEUTICS PLC 1,311,078 -18,116 $31,545
     HZNP1,311,078-18,116$31,545
MADDEN STEVEN LTD 855,885 -9,210 $29,057
     SHOO855,885-9,210$29,057
CHART INDS INC 366,841 +50,787 $28,203
     GTLS366,841+50,787$28,203
THE CHILDREN S PLACE INC 291,568 -2,571 $27,810
     PLCE291,568-2,571$27,810
INSPERITY INC 224,111 +15,543 $27,373
     NSP224,111+15,543$27,373
OLLIE S BARGAIN OUTLET HOLDINGS 309,425 -68,200 $26,954
     OLLI309,425-68,200$26,954
PLURALSIGHT INC 885,209 +205,640 $26,840
     PS885,209+205,640$26,840
PACIFIC PREMIER BANCORP 809,140 +23,620 $24,986
     PPBI809,140+23,620$24,986
ARENA PHARMACEUTICALS INC 425,510 -10,154 $24,948
     ARNA425,510-10,154$24,948
CRAY INC 700,884 +5,321 $24,405
     CRAY700,884+5,321$24,405
AIR TRANSPORT SERVICES GROUP 989,714 +130,078 $24,149
     ATSG989,714+130,078$24,149
INSMED INC 915,519 -6,008 $23,437
     INSM915,519-6,008$23,437
NV5 GLOBAL INC 284,818 -1,458 $23,184
     NVEE284,818-1,458$23,184
VOCERAMUNICATIONS INC 723,746 -7,814 $23,102
     VCRA723,746-7,814$23,102
Q2 HOLDINGS INC 301,734 -12,198 $23,040
     QTWO301,734-12,198$23,040
AMERICAN EAGLE OUTFITTERS INC. 1,359,998 -11,550 $22,984
     AEO1,359,998-11,550$22,984
MERITAGE CORP 434,230 +68,180 $22,293
     MTH434,230+68,180$22,293
HAEMONETICS CORPORATION 181,170 +24,410 $21,802
     HAE181,170+24,410$21,802
EHEALTH INC 246,546 -130,480 $21,228
     EHTH246,546-130,480$21,228
JACK IN THE BOX INC 257,342 +86,340 $20,945
     JACK257,342+86,340$20,945
PROOFPOINT INC 173,786 -52,497 $20,898
     PFPT173,786-52,497$20,898
COGENT COMMUNICATIONS HOLDINGS 345,182 -4,070 $20,490
     CCOI345,182-4,070$20,490
SPIRIT AIRLS INC 420,905 +145,250 $20,090
     SAVE420,905+145,250$20,090
GLU MOBILE INC 2,733,514 +374,859 $19,627
     GLUU2,733,514+374,859$19,627
GREEN DOT CORP 385,907 -2,673 $18,871
     GDOT385,907-2,673$18,871
INNOSPEC INC 206,490 -6,830 $18,840
     IOSP206,490-6,830$18,840

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

See Details: Top 10 Stocks Held By Emerald Advisers LLC

Size ($ in 1000's)
At 06/30/2019: $2,489,506
At 03/31/2019: $2,458,218

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

Emerald Advisers LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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