HoldingsChannel.com
All Stocks Held By Van Berkom & Associates Inc.
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
GRAND CANYON EDUCATION INC. 1,585,068 +302,612 $120,925
     LOPE1,585,068+302,612$120,925
MARKETAXESS HOLDINGS INC. 349,965 +24,740 $116,388
     MKTX349,965+24,740$116,388
VIRTU FINANCIAL 5,588,361 -33,400 $116,350
     VIRT5,588,361-33,400$116,350
HOULIHAN LOKEY INC. 2,043,973 +148,749 $106,532
     HLI2,043,973+148,749$106,532
IRIDIUM COMMUNICATIONS INC. 4,543,884 +191,740 $101,465
     IRDM4,543,884+191,740$101,465
HMS HOLDINGS CORP. 3,858,460 +1,489,397 $97,503
     HMSY3,858,460+1,489,397$97,503
CHARLES RIVER LABORATORIES 703,800 +119,919 $88,827
     CRL703,800+119,919$88,827
CHEMED CORP. 199,982 -9,439 $86,632
     CHE199,982-9,439$86,632
RLI CORP. 925,202 +65,599 $81,353
     RLI925,202+65,599$81,353
ENVESTNET INC. 1,482,321 +105,191 $79,719
     ENV1,482,321+105,191$79,719
MAXIMUS INC. 1,363,063 +82,549 $79,330
     MMS1,363,063+82,549$79,330
HEALTHCARE SERVICES GROUP INC. 3,216,576 +758,978 $76,908
     HCSG3,216,576+758,978$76,908
LAUREATE EDUCATION INC. 7,115,031 +1,302,397 $74,779
     LAUR7,115,031+1,302,397$74,779
EURONET WORLDWIDE INC. 860,246 +218,676 $73,740
     EEFT860,246+218,676$73,740
ACUSHNET HOLDINGS CORP. 2,821,829 +290,946 $72,577
     GOLF2,821,829+290,946$72,577
INTERNATIONAL FCSTONE INC. 1,939,729 +104,930 $70,335
     INTL1,939,729+104,930$70,335
SILICON LABORATORIES INC. 788,632 +125,425 $67,357
     SLAB788,632+125,425$67,357
GLOBUS MEDICAL INC. 1,580,884 +115,589 $67,235
     GMED1,580,884+115,589$67,235
MARRIOTT VACATIONS WORLDWIDE CORP. 1,130,384 +175,322 $62,827
     VAC1,130,384+175,322$62,827
PRIMORIS SERVICES CORP. 3,875,264 +286,195 $61,617
     PRIM3,875,264+286,195$61,617
LANDSTAR SYSTEM INC 640,108 +248,417 $61,361
     LSTR640,108+248,417$61,361
HURON CONSULTING GROUP INC. 1,344,070 +41,010 $60,967
     HURN1,344,070+41,010$60,967
BRUNSWICK CORP. 1,708,935 +259,143 $60,445
     BC1,708,935+259,143$60,445
CBOE GLOBAL MARKETS INC. 669,515 +55,429 $59,754
     CBOE669,515+55,429$59,754
ORMAT TECHNOLOGIES INC. 875,337 +524,457 $59,225
     ORA875,337+524,457$59,225
SHUTTERSTOCK INC. 1,727,348 +269,587 $55,552
     SSTK1,727,348+269,587$55,552
CARDTRONICS PLC. 2,574,305 +271,242 $53,854
     CATM2,574,305+271,242$53,854
TEMPUR SEALY INTERNATIONAL INC. 1,230,205 +359,240 $53,772
     TPX1,230,205+359,240$53,772
GENTHERM INC. 1,643,875 -196,868 $51,618
     THRM1,643,875-196,868$51,618
FOX FACTORY HOLDING CORP. 1,178,638 +124,982 $49,503
     FOXF1,178,638+124,982$49,503
THERMON GROUP HOLDINGS INC 3,243,522 +353,311 $48,880
     THR3,243,522+353,311$48,880
AZZ INC. 1,708,292 +114,556 $48,037
     AZZ1,708,292+114,556$48,037
AMBARELLA INC. 954,034 +26,423 $46,328
     AMBA954,034+26,423$46,328
THOR INDUSTRIES INC. 1,089,452 -119,784 $45,953
     THO1,089,452-119,784$45,953
UNIVERSAL HEALTH SERVICES 443,129 +43,372 $43,905
     UHS443,129+43,372$43,905
COLLIERS INTERNATIONAL GROUP INC. 869,075 +61,495 $41,239
     CIGI869,075+61,495$41,239
RE MAX HOLDINGS INC. 1,789,021 +16,488 $39,215
     RMAX1,789,021+16,488$39,215
BLUCORA INC. 2,880,842 +1,859,867 $34,714
     BCOR2,880,842+1,859,867$34,714
FIRSTSERVICE CORP. 430,719 -72,518 $32,947
     FSV430,719-72,518$32,947
REV GROUP INC 5,142,095 +834,288 $21,443
     REVG5,142,095+834,288$21,443
TUCOWS INC. 431,475 -5,913 $20,651
     TCX431,475-5,913$20,651
WADDELL AND REED FINANCIAL INC. 1,699,174 -568,529 $19,337
     WDR1,699,174-568,529$19,337
AMERICAN RENAL ASSOCIATES HOLDINGS 2,863,677 +159,443 $18,929
     ARA2,863,677+159,443$18,929
STANTEC INC. 675,308 -202,340 $17,136
     STN675,308-202,340$17,136
DXP ENTERPRISES INC. 985,167 -277,819 $12,078
     DXPE985,167-277,819$12,078
VIPSHOP HOLDINGS LIMITED 341,652 UNCH $5,323
     VIPS341,652UNCH$5,323
21VIANET GROUP INC. 379,059 UNCH $5,254
     VNET379,059UNCH$5,254
FUNKO INC 927,587 -3,153,313 $3,701
     FNKO927,587-3,153,313$3,701
KULICKE & SOFFA INDUSTRIES 174,369 +57,300 $3,639
     KLIC174,369+57,300$3,639
TRIP.COM GROUP LTD 152,519 UNCH $3,577
     TCOM152,519UNCH$3,577
NEW ORIENTAL EDUCATION & TECHNOLOGY 29,027 UNCH $3,142
     EDU29,027UNCH$3,142
CHINA DISTANCE EDUCATION HOLDINGS 344,670 UNCH $2,306
     DL344,670UNCH$2,306
TAKE TWO INTERACTIVE SOFTWARE 12,445 +1,112 $1,476
     TTWO12,445+1,112$1,476
TRACTOR SUPPLY COMPANY 16,296 +1,909 $1,378
     TSCO16,296+1,909$1,378
YUM CHINA HOLDINGS INC 27,600 +27,600 $1,177
     YUMC27,600+27,600$1,177
IPG PHOTONICS CORP. 9,612 +85 $1,060
     IPGP9,612+85$1,060
PREMIER INC. 27,842 -1,293 $911
     PINC27,842-1,293$911
VICTORY CAP HLDGS INC COM CL A 51,754 +51,754 $847
     VCTR51,754+51,754$847
BANK OZK 49,691 +9,885 $830
     OZK49,691+9,885$830
BOK FINANCIAL CORPORATION 18,580 +2,226 $791
     BOKF18,580+2,226$791
QUALYS INC 8,906 +8,906 $775
     QLYS8,906+8,906$775
TIVITY HEALTH INC 28,105 -4,118,081 $177
     TVTY28,105-4,118,081$177
HERMAN MILLER INC. $0 (exited)
     MLHR0-829,890$0
NOAH HOLDINGS LIMITED $0 (exited)
     NOAH0-5,022$0
US SILICA HOLDINGS INC. 0 -2,774,235 $0 (exited)
     SLCA0-2,774,235$0

See Summary: Van Berkom & Associates Inc. Top Holdings
See Details: Top 10 Stocks Held By Van Berkom & Associates Inc.

EntityShares/Amount
Change
Position Value
Change
YUMC +27,600+$1,177
VCTR +51,754+$847
QLYS +8,906+$775
EntityShares/Amount
Change
Position Value
Change
MLHR -829,890-$34,565
SLCA -2,774,235-$17,062
NOAH -5,022-$178
EntityShares/Amount
Change
Position Value
Change
BCOR +1,859,867+$8,026
HMSY +1,489,397+$27,379
LAUR +1,302,397-$27,581
REVG +834,288-$31,241
HCSG +758,978+$17,139
ORA +524,457+$33,077
TPX +359,240-$22,054
THR +353,311-$28,578
LOPE +302,612-$1,921
GOLF +290,946-$9,677
EntityShares/Amount
Change
Position Value
Change
TVTY -4,118,081-$84,198
FNKO -3,153,313-$66,327
WDR -568,529-$18,579
DXPE -277,819-$38,201
STN -202,340-$24,698
THRM -196,868-$30,093
THO -119,784-$43,881
FSV -72,518-$46,067
VIRT -33,400+$26,458
Size ($ in 1000's)
At 03/31/2020: $2,795,606
At 12/31/2019: $3,701,429

Van Berkom & Associates Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Van Berkom & Associates Inc. 13F filings. Link to 13F filings: SEC filings

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