HoldingsChannel.com
All Stocks Held By Summit Creek Advisors LLC
As of  12/31/2023, we find all stocks held by Summit Creek Advisors LLC to be as follows, presented in the table below with each row detailing each Summit Creek Advisors LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Summit Creek Advisors LLC table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Summit Creek Advisors LLC as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
DESCARTES SYSTEMS GROUP 313,953 -24,502 $26,391
     DSGX313,953-24,502$26,391
CCC INTELLIGENT SOLUTIONS 2,210,448 -255,514 $25,177
     CCCS2,210,448-255,514$25,177
ADDUS HOMECARE 266,485 -21,673 $24,743
     ADUS266,485-21,673$24,743
LITTELFUSE INC. 91,196 -7,315 $24,400
     LFUS91,196-7,315$24,400
SPS COMMERCE 125,763 -10,828 $24,378
     SPSC125,763-10,828$24,378
TREX COMPANY 269,006 +53,708 $22,271
     TREX269,006+53,708$22,271
PAYLOCITY HOLDINGS 130,648 -1,428 $21,537
     PCTY130,648-1,428$21,537
BIO TECHNE CORP 263,902 -20,779 $20,363
     TECH263,902-20,779$20,363
OLLIE&apos S BARGAIN OUTLET 265,582 -46,257 $20,155
     OLLI265,582-46,257$20,155
BOOT BARN HOLDINGS 260,473 +17,688 $19,994
     BOOT260,473+17,688$19,994
CONSTRUCTION PARTNERS INC 453,766 -38,538 $19,748
     ROAD453,766-38,538$19,748
WNS LIMITED 308,395 -29,078 $19,491
     WNS308,395-29,078$19,491
DOUBLEVERIFY 520,160 +90,012 $19,131
     DV520,160+90,012$19,131
DORMAN PRODUCTS INC 225,903 -19,307 $18,843
     DORM225,903-19,307$18,843
EVOLENT HEALTH 570,360 +10,865 $18,839
     EVH570,360+10,865$18,839
EXLSERVICE HOLDINGS INC. 594,918 -47,151 $18,353
     EXLS594,918-47,151$18,353
PURE STORAGE 488,637 -41,643 $17,425
     PSTG488,637-41,643$17,425
FIVE BELOW INC. 80,915 +5,846 $17,248
     FIVE80,915+5,846$17,248
HEALTHEQUITY 254,790 -21,723 $16,893
     HQY254,790-21,723$16,893
OPTION CARE HEALTH INC 494,401 -42,208 $16,656
     OPCH494,401-42,208$16,656
ENVESTNET INC. 321,505 -24,177 $15,921
     ENV321,505-24,177$15,921
VERICEL CORPORATION 440,748 -36,929 $15,695
     VCEL440,748-36,929$15,695
REPAY HOLDINGS CORP 1,831,991 -137,279 $15,645
     RPAY1,831,991-137,279$15,645
ALARM.COM 236,374 -20,252 $15,274
     ALRM236,374-20,252$15,274
MEDPACE HOLDINGS INC. 48,557 +25,510 $14,884
     MEDP48,557+25,510$14,884
ARHAUS INC 1,253,376 -88,695 $14,853
     ARHS1,253,376-88,695$14,853
NV5 GLOBAL INC. 133,290 -9,652 $14,811
     NVEE133,290-9,652$14,811
AMERIS BANCORP 271,716 -22,847 $14,415
     ABCB271,716-22,847$14,415
ZETA GLOBAL 1,529,628 +60,684 $13,491
     ZETA1,529,628+60,684$13,491
QUALYS INC. 67,692 -72,996 $13,287
     QLYS67,692-72,996$13,287
FIVE9 INC 166,817 +38,617 $13,127
     FIVN166,817+38,617$13,127
LEMAITRE VASCULAR INC. 228,501 +62,737 $12,970
     LMAT228,501+62,737$12,970
ICON PLC 44,916 -31,198 $12,714
     ICLR44,916-31,198$12,714
SITEONE LANDSCAPE SUPPLY 76,228 -6,420 $12,387
     SITE76,228-6,420$12,387
GRID DYNAMICS 911,257 -72,817 $12,147
     GDYN911,257-72,817$12,147
INSTRUCTURE HOLDINGS 425,718 -128,687 $11,499
     INST425,718-128,687$11,499
Q2 HOLDINGS INC 211,238 +211,238 $9,170
     QTWO211,238+211,238$9,170
BOWMAN CONSULTING GROUP 252,409 -12,497 $8,966
     BWMN252,409-12,497$8,966
INTERNATIONAL MONEY EXPRESS 402,130 +50,346 $8,883
     IMXI402,130+50,346$8,883
GROCERY OUTLET HOLDING CORP 298,617 +28,543 $8,051
     GO298,617+28,543$8,051
WILLDAN GROUP INC 362,541 -20,262 $7,795
     WLDN362,541-20,262$7,795
DIGI INTERNATIONAL INC 297,435 +42,179 $7,733
     DGII297,435+42,179$7,733
ENGAGESMART INC 323,307 -237,583 $7,404
     ESMT323,307-237,583$7,404
MISTER CAR WASH INC 855,406 -74,276 $7,391
     MCW855,406-74,276$7,391
MONTROSE ENVIRONMENTAL GROUP 228,344 +41,189 $7,337
     MEG228,344+41,189$7,337
OMNICELL INC. 190,048 -15,817 $7,152
     OMCL190,048-15,817$7,152
MODEL N INC. 243,984 -192,113 $6,570
     MODN243,984-192,113$6,570
THOUGHTWORKS HOLDING 1,326,644 +244,693 $6,381
     TWKS1,326,644+244,693$6,381
CBIZ INC 82,983 +82,983 $5,194
     CBZ82,983+82,983$5,194
BOX INC 187,180 -191,680 $4,794
     BOX187,180-191,680$4,794
REPLIGEN CORPORATION 21,663 -1,836 $3,895
     RGEN21,663-1,836$3,895
GODADDY INC. 5,874 UNCH $624
     GDDY5,874UNCH$624
TRADEWEB MARKETS INC 6,212 UNCH $565
     TW6,212UNCH$565
FAIR ISAAC CORPORATION 464 -146 $540
     FICO464-146$540
DOLBY LABORATORIES 6,107 UNCH $526
     DLB6,107UNCH$526
TRIMBLE INC. 7,666 UNCH $408
     TRMB7,666UNCH$408
NICE LTD SPONSORED ADR 1,954 UNCH $390
     NICE1,954UNCH$390
WEST PHARMACEUTICAL SVCS 1,079 UNCH $380
     WST1,079UNCH$380
POOL CORPORATION 881 UNCH $351
     POOL881UNCH$351
ADVANCED DRAINAGE SYSTEMS 2,429 UNCH $342
     WMS2,429UNCH$342
FLOOR & DECOR HOLDINGS INC 2,621 -1,534 $292
     FND2,621-1,534$292
GARTNER INC 613 UNCH $277
     IT613UNCH$277
MONOLITHIC POWER SYSTEMS INC. 412 +412 $260
     MPWR412+412$260
TYLER TECHNOLOGY INC. 582 UNCH $243
     TYL582UNCH$243
JACK HENRY & ASSOCIATES 1,341 +1,341 $219
     JKHY1,341+1,341$219
ALIGN TECH $0 (exited)
     ALGN0-690$0
DOCGO INC. $0 (exited)
     DCGO0-748,038$0
DRIVEN BRANDS $0 (exited)
     DRVN0-762,389$0
GENPACT LIMITED $0 (exited)
     G0-7,900$0
SNAP ONE INC 0 -493,030 $0 (exited)
     SNPO0-493,030$0

See Summary: Summit Creek Advisors LLC Top Holdings
See Details: Top 10 Stocks Held By Summit Creek Advisors LLC

EntityShares/Amount
Change
Position Value
Change
QTWO +211,238+$9,170
CBZ +82,983+$5,194
MPWR +412+$260
JKHY +1,341+$219
EntityShares/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
EntityShares/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
EntityShares/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

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