HoldingsChannel.com
Emerald Mutual Fund Advisers Trust Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
CHEGG INC 1,012,436 -296,033 $68,096
     CHGG1,012,436-296,033$68,096
FRESHPET INC 682,917 -607 $57,133
     FRPT682,917-607$57,133
HORIZON THERAPEUTICS PLC 741,837 -371,444 $41,231
     HZNP741,837-371,444$41,231
TREX INC 314,008 -162,607 $40,843
     TREX314,008-162,607$40,843
CHURCHILL DOWNS INC 306,204 +26,724 $40,771
     CHDN306,204+26,724$40,771
NEOGENOMICS INC 1,309,668 +114,653 $40,574
     NEO1,309,668+114,653$40,574
PALOMAR HOLDINGS INC 443,554 +44,233 $38,039
     PLMR443,554+44,233$38,039
VARONIS SYSTEMS INC 398,366 +41,353 $35,247
     VRNS398,366+41,353$35,247
RAPID7 INC 682,922 +23,500 $34,843
     RPD682,922+23,500$34,843
BIOHAVEN PHARMACEUTICAL HOLDINGS 439,148 -73,251 $32,106
     BHVN439,148-73,251$32,106
KRATOS DEFENSE AND SECURITY 2,031,604 +69,550 $31,754
     KTOS2,031,604+69,550$31,754
MERCURY SYSTEMS INC 403,503 +13,105 $31,740
     MRCY403,503+13,105$31,740
BELLRING BRANDS INC 1,552,731 +43,559 $30,961
     BRBR1,552,731+43,559$30,961
MACOM TECHNOLOGY SOLUTIONS 891,283 +260,405 $30,616
     MTSI891,283+260,405$30,616
SIMPLY GOOD FOODS CO 1,638,334 +52,230 $30,440
     SMPL1,638,334+52,230$30,440
MERITAGE CORP 391,022 +20,250 $29,765
     MTH391,022+20,250$29,765
SVMK INC 1,242,583 +194,035 $29,250
     SVMK1,242,583+194,035$29,250
GLU MOBILE INC 3,041,220 -246,176 $28,192
     GLUU3,041,220-246,176$28,192
TETRA TECH INC 353,145 +3,443 $27,941
     TTEK353,145+3,443$27,941
BLUEPRINT MEDICINES CORP 357,302 -6,470 $27,870
     BPMC357,302-6,470$27,870
JACK IN THE BOX INC 371,179 +168,816 $27,501
     JACK371,179+168,816$27,501
MODEL N INC 738,362 +148,359 $25,665
     MODN738,362+148,359$25,665
PLANET FITNESS INC 423,174 +23,296 $25,632
     PLNT423,174+23,296$25,632
COGENT COMMUNICATIONS HOLDINGS 322,483 -51,810 $24,947
     CCOI322,483-51,810$24,947
PLURALSIGHT INC 1,312,186 +52,950 $23,685
     PS1,312,186+52,950$23,685
QTS REALTY TRUST INC 368,936 +13,791 $23,645
     QTS368,936+13,791$23,645
BOSTON BEER COMPANY INC CLASS A 42,160 -212 $22,625
     SAM42,160-212$22,625
SCIENCE APPLICATIONS INTERNATIONAL CORP 285,294 +50,870 $22,162
     SAIC285,294+50,870$22,162
INTEGER HOLDINGS CORP 297,711 -41,682 $21,748
     ITGR297,711-41,682$21,748
TABULA RASA HEALTHCARE INC 397,157 +28,369 $21,736
     TRHC397,157+28,369$21,736
ATRICURE INC 477,083 +60,431 $21,445
     ATRC477,083+60,431$21,445
TRINET GROUP IN 351,500 +96,477 $21,420
     TNET351,500+96,477$21,420
UNITED THERAPEUTICS CORP DEL 173,837 +66,084 $21,034
     UTHR173,837+66,084$21,034
CHEMOCENTRYX INC 364,669 +41,989 $20,983
     CCXI364,669+41,989$20,983
PACIFIC PREMIER BANCORP 964,198 +34,420 $20,904
     PPBI964,198+34,420$20,904
NATIONAL VISION HOLDINGS 664,558 +498,768 $20,282
     EYE664,558+498,768$20,282
TOPBUILD CORP 177,089 +55,422 $20,147
     BLD177,089+55,422$20,147
VIAVI SOLUTIONS INC 1,571,670 +28,420 $20,023
     VIAV1,571,670+28,420$20,023
REPLIMUNE GROUP INC 801,162 +22,389 $19,909
     REPL801,162+22,389$19,909
MIRATI THERAPEUTICS INC 172,377 -39,220 $19,680
     MRTX172,377-39,220$19,680
KARYOPHARM THERAPEUTICS INC 1,036,947 +171,222 $19,640
     KPTI1,036,947+171,222$19,640
TAYLOR MORRISON HOME CORP 1,005,848 +368,640 $19,403
     TMHC1,005,848+368,640$19,403
BRP GROUP INC 1,120,479 +316,232 $19,351
     BRP1,120,479+316,232$19,351
FIVE BELOW 178,487 +12,030 $19,082
     FIVE178,487+12,030$19,082
ALARM.COM HOLDINGS INC 293,949 +1,150 $19,051
     ALRM293,949+1,150$19,051
TWIST BIOSCIENCE CORP 419,905 -5,750 $19,022
     TWST419,905-5,750$19,022
ADDUS HOMECARE CORPORATION 202,463 +3,890 $18,740
     ADUS202,463+3,890$18,740
MOELIS & CO 586,131 +39,368 $18,264
     MC586,131+39,368$18,264
CHART INDS INC 366,922 +76,957 $17,792
     GTLS366,922+76,957$17,792
AEROJET ROCKETDYNE HOLDINGS INC 439,498 +12,420 $17,422
     AJRD439,498+12,420$17,422

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

See Details: Top 10 Stocks Held By Emerald Mutual Fund Advisers Trust

Size ($ in 1000's)
At 06/30/2020: $2,118,300
At 03/31/2020: $1,595,086

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

Emerald Mutual Fund Advisers Trust Top Holdings 13F Filings | www.HoldingsChannel.com

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