Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
DESCARTES SYSTEMS GROUP | 313,953 | -24,502 | $26,391 |
DSGX | 313,953 | -24,502 | $26,391 |
CCC INTELLIGENT SOLUTIONS | 2,210,448 | -255,514 | $25,177 |
CCCS | 2,210,448 | -255,514 | $25,177 |
ADDUS HOMECARE | 266,485 | -21,673 | $24,743 |
ADUS | 266,485 | -21,673 | $24,743 |
LITTELFUSE INC. | 91,196 | -7,315 | $24,400 |
LFUS | 91,196 | -7,315 | $24,400 |
SPS COMMERCE | 125,763 | -10,828 | $24,378 |
SPSC | 125,763 | -10,828 | $24,378 |
TREX COMPANY | 269,006 | +53,708 | $22,271 |
TREX | 269,006 | +53,708 | $22,271 |
PAYLOCITY HOLDINGS | 130,648 | -1,428 | $21,537 |
PCTY | 130,648 | -1,428 | $21,537 |
BIO TECHNE CORP | 263,902 | -20,779 | $20,363 |
TECH | 263,902 | -20,779 | $20,363 |
OLLIE&apos S BARGAIN OUTLET | 265,582 | -46,257 | $20,155 |
OLLI | 265,582 | -46,257 | $20,155 |
BOOT BARN HOLDINGS | 260,473 | +17,688 | $19,994 |
BOOT | 260,473 | +17,688 | $19,994 |
CONSTRUCTION PARTNERS INC | 453,766 | -38,538 | $19,748 |
ROAD | 453,766 | -38,538 | $19,748 |
WNS LIMITED | 308,395 | -29,078 | $19,491 |
WNS | 308,395 | -29,078 | $19,491 |
DOUBLEVERIFY | 520,160 | +90,012 | $19,131 |
DV | 520,160 | +90,012 | $19,131 |
DORMAN PRODUCTS INC | 225,903 | -19,307 | $18,843 |
DORM | 225,903 | -19,307 | $18,843 |
EVOLENT HEALTH | 570,360 | +10,865 | $18,839 |
EVH | 570,360 | +10,865 | $18,839 |
EXLSERVICE HOLDINGS INC. | 594,918 | -47,151 | $18,353 |
EXLS | 594,918 | -47,151 | $18,353 |
PURE STORAGE | 488,637 | -41,643 | $17,425 |
PSTG | 488,637 | -41,643 | $17,425 |
FIVE BELOW INC. | 80,915 | +5,846 | $17,248 |
FIVE | 80,915 | +5,846 | $17,248 |
HEALTHEQUITY | 254,790 | -21,723 | $16,893 |
HQY | 254,790 | -21,723 | $16,893 |
OPTION CARE HEALTH INC | 494,401 | -42,208 | $16,656 |
OPCH | 494,401 | -42,208 | $16,656 |
ENVESTNET INC. | 321,505 | -24,177 | $15,921 |
ENV | 321,505 | -24,177 | $15,921 |
VERICEL CORPORATION | 440,748 | -36,929 | $15,695 |
VCEL | 440,748 | -36,929 | $15,695 |
REPAY HOLDINGS CORP | 1,831,991 | -137,279 | $15,645 |
RPAY | 1,831,991 | -137,279 | $15,645 |
ALARM.COM | 236,374 | -20,252 | $15,274 |
ALRM | 236,374 | -20,252 | $15,274 |
MEDPACE HOLDINGS INC. | 48,557 | +25,510 | $14,884 |
MEDP | 48,557 | +25,510 | $14,884 |
ARHAUS INC | 1,253,376 | -88,695 | $14,853 |
ARHS | 1,253,376 | -88,695 | $14,853 |
NV5 GLOBAL INC. | 133,290 | -9,652 | $14,811 |
NVEE | 133,290 | -9,652 | $14,811 |
AMERIS BANCORP | 271,716 | -22,847 | $14,415 |
ABCB | 271,716 | -22,847 | $14,415 |
ZETA GLOBAL | 1,529,628 | +60,684 | $13,491 |
ZETA | 1,529,628 | +60,684 | $13,491 |
QUALYS INC. | 67,692 | -72,996 | $13,287 |
QLYS | 67,692 | -72,996 | $13,287 |
FIVE9 INC | 166,817 | +38,617 | $13,127 |
FIVN | 166,817 | +38,617 | $13,127 |
LEMAITRE VASCULAR INC. | 228,501 | +62,737 | $12,970 |
LMAT | 228,501 | +62,737 | $12,970 |
ICON PLC | 44,916 | -31,198 | $12,714 |
ICLR | 44,916 | -31,198 | $12,714 |
SITEONE LANDSCAPE SUPPLY | 76,228 | -6,420 | $12,387 |
SITE | 76,228 | -6,420 | $12,387 |
GRID DYNAMICS | 911,257 | -72,817 | $12,147 |
GDYN | 911,257 | -72,817 | $12,147 |
INSTRUCTURE HOLDINGS | 425,718 | -128,687 | $11,499 |
INST | 425,718 | -128,687 | $11,499 |
Q2 HOLDINGS INC | 211,238 | +211,238 | $9,170 |
QTWO | 211,238 | +211,238 | $9,170 |
BOWMAN CONSULTING GROUP | 252,409 | -12,497 | $8,966 |
BWMN | 252,409 | -12,497 | $8,966 |
INTERNATIONAL MONEY EXPRESS | 402,130 | +50,346 | $8,883 |
IMXI | 402,130 | +50,346 | $8,883 |
GROCERY OUTLET HOLDING CORP | 298,617 | +28,543 | $8,051 |
GO | 298,617 | +28,543 | $8,051 |
WILLDAN GROUP INC | 362,541 | -20,262 | $7,795 |
WLDN | 362,541 | -20,262 | $7,795 |
DIGI INTERNATIONAL INC | 297,435 | +42,179 | $7,733 |
DGII | 297,435 | +42,179 | $7,733 |
ENGAGESMART INC | 323,307 | -237,583 | $7,404 |
ESMT | 323,307 | -237,583 | $7,404 |
MISTER CAR WASH INC | 855,406 | -74,276 | $7,391 |
MCW | 855,406 | -74,276 | $7,391 |
MONTROSE ENVIRONMENTAL GROUP | 228,344 | +41,189 | $7,337 |
MEG | 228,344 | +41,189 | $7,337 |
OMNICELL INC. | 190,048 | -15,817 | $7,152 |
OMCL | 190,048 | -15,817 | $7,152 |
MODEL N INC. | 243,984 | -192,113 | $6,570 |
MODN | 243,984 | -192,113 | $6,570 |
THOUGHTWORKS HOLDING | 1,326,644 | +244,693 | $6,381 |
TWKS | 1,326,644 | +244,693 | $6,381 |
CBIZ INC | 82,983 | +82,983 | $5,194 |
CBZ | 82,983 | +82,983 | $5,194 |
BOX INC | 187,180 | -191,680 | $4,794 |
BOX | 187,180 | -191,680 | $4,794 |
REPLIGEN CORPORATION | 21,663 | -1,836 | $3,895 |
RGEN | 21,663 | -1,836 | $3,895 |
GODADDY INC. | 5,874 | UNCH | $624 |
GDDY | 5,874 | UNCH | $624 |
TRADEWEB MARKETS INC | 6,212 | UNCH | $565 |
TW | 6,212 | UNCH | $565 |
FAIR ISAAC CORPORATION | 464 | -146 | $540 |
FICO | 464 | -146 | $540 |
DOLBY LABORATORIES | 6,107 | UNCH | $526 |
DLB | 6,107 | UNCH | $526 |
TRIMBLE INC. | 7,666 | UNCH | $408 |
TRMB | 7,666 | UNCH | $408 |
NICE LTD SPONSORED ADR | 1,954 | UNCH | $390 |
NICE | 1,954 | UNCH | $390 |
WEST PHARMACEUTICAL SVCS | 1,079 | UNCH | $380 |
WST | 1,079 | UNCH | $380 |
POOL CORPORATION | 881 | UNCH | $351 |
POOL | 881 | UNCH | $351 |
ADVANCED DRAINAGE SYSTEMS | 2,429 | UNCH | $342 |
WMS | 2,429 | UNCH | $342 |
FLOOR & DECOR HOLDINGS INC | 2,621 | -1,534 | $292 |
FND | 2,621 | -1,534 | $292 |
GARTNER INC | 613 | UNCH | $277 |
IT | 613 | UNCH | $277 |
MONOLITHIC POWER SYSTEMS INC. | 412 | +412 | $260 |
MPWR | 412 | +412 | $260 |
TYLER TECHNOLOGY INC. | 582 | UNCH | $243 |
TYL | 582 | UNCH | $243 |
JACK HENRY & ASSOCIATES | 1,341 | +1,341 | $219 |
JKHY | 1,341 | +1,341 | $219 |
ALIGN TECH | $0 (exited) | ||
ALGN | 0 | -690 | $0 |
DOCGO INC. | $0 (exited) | ||
DCGO | 0 | -748,038 | $0 |
DRIVEN BRANDS | $0 (exited) | ||
DRVN | 0 | -762,389 | $0 |
GENPACT LIMITED | $0 (exited) | ||
G | 0 | -7,900 | $0 |
SNAP ONE INC | 0 | -493,030 | $0 (exited) |
SNPO | 0 | -493,030 | $0 |
See Summary: Summit Creek Advisors LLC Top Holdings
See Details: Top 10 Stocks Held By Summit Creek Advisors LLC
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
QTWO | +211,238 | +$9,170 |
CBZ | +82,983 | +$5,194 |
MPWR | +412 | +$260 |
JKHY | +1,341 | +$219 |
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
DRVN | -762,389 | -$9,598 |
SNPO | -493,030 | -$4,556 |
DCGO | -748,038 | -$3,987 |
G | -7,900 | -$286 |
ALGN | -690 | -$211 |
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
TWKS | +244,693 | +$1,967 |
DV | +90,012 | +$7,108 |
LMAT | +62,737 | +$3,939 |
ZETA | +60,684 | +$1,225 |
TREX | +53,708 | +$9,002 |
IMXI | +50,346 | +$2,927 |
DGII | +42,179 | +$841 |
MEG | +41,189 | +$1,861 |
FIVN | +38,617 | +$4,884 |
GO | +28,543 | +$259 |
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
CCCS | -255,514 | -$7,744 |
ESMT | -237,583 | -$2,686 |
MODN | -192,113 | -$4,075 |
BOX | -191,680 | -$4,378 |
RPAY | -137,279 | +$698 |
INST | -128,687 | -$2,583 |
ARHS | -88,695 | +$2,372 |
MCW | -74,276 | +$2,268 |
QLYS | -72,996 | -$8,175 |
Size ($ in 1000's)
At 12/31/2023: $747,289 At 09/30/2023: $735,134 Summit Creek Advisors LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Summit Creek Advisors LLC 13F filings. Link to 13F filings: SEC filings |