HoldingsChannel.com
All Stocks Held By Wasatch Advisors Inc.
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
FIVE9 INC 3,448,882 +231,524 $263,702
     FIVN3,448,882+231,524$263,702
MONOLITHIC PWR SYS INC 1,367,953 +115,564 $229,077
     MPWR1,367,953+115,564$229,077
ICON PLC 1,649,942 +31,571 $224,392
     ICLR1,649,942+31,571$224,392
GLOBANT S A 2,535,995 +146,107 $222,863
     GLOB2,535,995+146,107$222,863
PAYLOCITY HLDG CORP 2,461,070 +238,689 $217,362
     PCTY2,461,070+238,689$217,362
EURONET WORLDWIDE INC 2,530,344 +723,555 $216,901
     EEFT2,530,344+723,555$216,901
RBC BEARINGS INC 1,869,368 +102,170 $210,846
     ROLL1,869,368+102,170$210,846
ENSIGN GROUP INC 5,585,805 +825,329 $210,082
     ENSG5,585,805+825,329$210,082
BARNES GROUP INC 4,812,698 +492,359 $201,315
     B4,812,698+492,359$201,315
OLLIES BARGAIN OUTLT HLDGS I 4,197,944 +1,093,146 $194,533
     OLLI4,197,944+1,093,146$194,533
TREX CO INC 2,400,232 +140,370 $192,355
     TREX2,400,232+140,370$192,355
MONRO INC 4,307,327 +270,007 $188,704
     MNRO4,307,327+270,007$188,704
PROOFPOINT INC 1,684,535 +380,018 $172,816
     PFPT1,684,535+380,018$172,816
MEDALLIA INC 8,502,245 +3,503,156 $170,385
     MDLA8,502,245+3,503,156$170,385
MEDPACE HLDGS INC 2,290,382 +485,397 $168,068
     MEDP2,290,382+485,397$168,068
TYLER TECHNOLOGIES INC 542,055 -58,271 $160,752
     TYL542,055-58,271$160,752
FIVE BELOW INC 2,197,675 +448,342 $154,672
     FIVE2,197,675+448,342$154,672
NEOGEN CORP 2,288,488 -485,319 $153,306
     NEOG2,288,488-485,319$153,306
CYBERARK SOFTWARE LTD 1,779,354 +646,730 $152,242
     CYBR1,779,354+646,730$152,242
DOCUSIGN INC 1,621,112 +26,561 $149,791
     DOCU1,621,112+26,561$149,791
FABRINET 2,696,596 +458,448 $147,126
     FN2,696,596+458,448$147,126
HEALTHEQUITY INC 2,698,113 +508,358 $136,498
     HQY2,698,113+508,358$136,498
HELIOS TECHNOLOGIES INC 3,563,000 +177,587 $135,109
     HLIO3,563,000+177,587$135,109
FRESHPET INC 2,076,659 +778,187 $132,636
     FRPT2,076,659+778,187$132,636
POOL CORPORATION 647,325 -20,162 $127,374
     POOL647,325-20,162$127,374
PLANET FITNESS INC 2,599,276 +1,774,658 $126,585
     PLNT2,599,276+1,774,658$126,585
HAMILTON LANE INC 2,184,025 +261,690 $120,798
     HLNE2,184,025+261,690$120,798
KADANT INC 1,603,197 +65,105 $119,679
     KAI1,603,197+65,105$119,679
BALCHEM CORP 1,168,193 -344,353 $115,324
     BCPC1,168,193-344,353$115,324
ALLEGIANT TRAVEL CO 1,379,313 +254,951 $112,828
     ALGT1,379,313+254,951$112,828
MONMOUTH REAL ESTATE INVT CO 9,108,367 +456,299 $109,756
     MNR9,108,367+456,299$109,756
NATIONAL STORAGE AFFILIATES 3,682,553 +581,884 $109,004
     NSA3,682,553+581,884$109,004
FLOOR & DECOR HLDGS INC 3,266,165 +191,482 $104,811
     FND3,266,165+191,482$104,811
MERCADOLIBRE INC 204,032 +3,245 $99,686
     MELI204,032+3,245$99,686
KORNIT DIGITAL LTD 3,942,216 +382,814 $98,122
     KRNT3,942,216+382,814$98,122
SITEONE LANDSCAPE SUPPLY INC 1,321,972 -184,281 $97,324
     SITE1,321,972-184,281$97,324
LGI HOMES INC 2,154,547 +438,258 $97,278
     LGIH2,154,547+438,258$97,278
HUBSPOT INC 701,167 +134,841 $93,388
     HUBS701,167+134,841$93,388
EAGLE BANCORP INC MD 3,051,669 -48,452 $92,191
     EGBN3,051,669-48,452$92,191
NATIONAL VISION HLDGS INC 4,730,853 -553,998 $91,873
     EYE4,730,853-553,998$91,873
51JOB INC 1,391,294 +64,854 $85,412
     JOBS1,391,294+64,854$85,412
RAPID7 INC 1,961,483 +805,452 $84,991
     RPD1,961,483+805,452$84,991
VALVOLINE INC 6,406,091 +806,038 $83,856
     VVV6,406,091+806,038$83,856
ZENDESK INC 1,233,891 +198,326 $78,981
     ZEN1,233,891+198,326$78,981
ALTRA INDL MOTION CORP 4,368,192 +623,736 $76,400
     AIMC4,368,192+623,736$76,400
COHEN & STEERS INC 1,675,380 +67,189 $76,146
     CNS1,675,380+67,189$76,146
EPAM SYS INC 404,129 -103,001 $75,031
     EPAM404,129-103,001$75,031
PINNACLE FINL PARTNERS INC 1,973,785 -57,574 $74,096
     PNFP1,973,785-57,574$74,096
CANTEL MEDICAL CORP 2,007,842 -605,653 $72,082
     CMD2,007,842-605,653$72,082
NOVANTA INC 869,389 +97,739 $69,447
     NOVT869,389+97,739$69,447
CIMPRESS PLC 1,291,894 +320,248 $68,729
     CMPR1,291,894+320,248$68,729
OLD DOMINION FREIGHT LINE IN 498,887 +37,979 $65,484
     ODFL498,887+37,979$65,484
Q2 HLDGS INC 1,100,984 +145,909 $65,024
     QTWO1,100,984+145,909$65,024
GUIDEWIRE SOFTWARE INC 806,561 -223,844 $63,968
     GWRE806,561-223,844$63,968
CLARIVATE ANALYTICS PLC 3,048,988 -1,378,416 $63,267
     CCC3,048,988-1,378,416$63,267
AVALARA INC 782,678 +782,678 $58,388
     AVLR782,678+782,678$58,388
INSULET CORP 337,605 -12,072 $55,934
     PODD337,605-12,072$55,934
NOVA MEASURING INSTRUMENTS L 1,682,945 +1,682,945 $54,948
     NVMI1,682,945+1,682,945$54,948
HEICO CORP NEW      $53,718
     HEI.A840,660+2,968$53,718
INSPIRE MED SYS INC 884,671 +230,870 $53,328
     INSP884,671+230,870$53,328
WEBSTER FINL CORP CONN 2,327,258 +188,058 $53,294
     WBS2,327,258+188,058$53,294
LIGAND PHARMACEUTICALS INC 689,855 +689,855 $50,166
     LGND689,855+689,855$50,166
GOOSEHEAD INS INC 1,102,949 -2,880 $49,225
     GSHD1,102,949-2,880$49,225
CHEMOCENTRYX INC 1,200,370 -100,706 $48,231
     CCXI1,200,370-100,706$48,231
ALIBABA GROUP HLDG LTD 247,381 -2,427 $48,111
     BABA247,381-2,427$48,111
AAON INC 976,571 -508,677 $47,188
     AAON976,571-508,677$47,188
SILK RD MED INC 1,442,241 +1,000,885 $45,402
     SILK1,442,241+1,000,885$45,402
INTRA CELLULAR THERAPIES INC 2,932,265 +1,150,566 $45,069
     ITCI2,932,265+1,150,566$45,069
PENNANT GROUP INC 3,176,668 +1,380,854 $44,982
     PNTGV3,176,668+1,380,854$44,982
GROCERY OUTLET HLDG CORP 1,230,554 -163,959 $42,257
     GO1,230,554-163,959$42,257
SANGAMO THERAPEUTICS INC 5,938,434 -1,548,583 $37,828
     SGMO5,938,434-1,548,583$37,828
TRIP COM GROUP LTD 1,584,415 +25,290 $37,155
     TCOM1,584,415+25,290$37,155
PETIQ INC 1,574,653 -111,583 $36,579
     PETQ1,574,653-111,583$36,579
CYTOKINETICS INC 2,999,913 +406,453 $35,369
     CYTK2,999,913+406,453$35,369
BANDWIDTH INC 472,849 +2,315 $31,818
     BAND472,849+2,315$31,818
REPAY HLDGS CORP 2,144,148 +2,144,148 $30,769
     RPAY2,144,148+2,144,148$30,769
ENDAVA PLC 817,447 -325,914 $28,741
     DAVA817,447-325,914$28,741
ESPERION THERAPEUTICS INC NE 906,336 +241,629 $28,577
     ESPR906,336+241,629$28,577
BANK OZK 1,685,232 +1,462,184 $28,143
     OZK1,685,232+1,462,184$28,143
UPLAND SOFTWARE INC 1,020,755 +227,283 $27,377
     UPLD1,020,755+227,283$27,377
KNIGHT SWIFT TRANSN HLDGS IN 825,185 -4,297,677 $27,066
     KNX825,185-4,297,677$27,066
INOVIO PHARMACEUTICALS INC 3,600,798 -3,882,029 $26,790
     INO3,600,798-3,882,029$26,790
SHAKE SHACK INC 701,106 +235,755 $26,460
     SHAK701,106+235,755$26,460
MAKEMYTRIP LIMITED MAURITIUS 2,186,024 +52,951 $26,134
     MMYT2,186,024+52,951$26,134
TABULA RASA HEALTHCARE INC 485,264 -41,712 $25,374
     TRHC485,264-41,712$25,374
ATRICURE INC 748,851 +66,298 $25,154
     ATRC748,851+66,298$25,154
COPART INC 364,303 +6,766 $24,962
     CPRT364,303+6,766$24,962
CONSTRUCTION PARTNERS INC 1,411,503 +330,759 $23,840
     ROAD1,411,503+330,759$23,840
CAMPING WORLD HLDGS INC 3,906,425 +428,414 $22,228
     CWH3,906,425+428,414$22,228
TANDEM DIABETES CARE INC 342,777 -17,724 $22,058
     TNDM342,777-17,724$22,058
FREQUENCY THERAPEUTICS INC 1,206,555 +148,249 $21,489
     FREQ1,206,555+148,249$21,489
INNOSPEC INC 307,011 -83,382 $21,334
     IOSP307,011-83,382$21,334
SKYLINE CHAMPION CORPORATION 1,359,434 +49,797 $21,316
     SKY1,359,434+49,797$21,316
U S PHYSICAL THERAPY INC 290,903 +290,903 $20,072
     USPH290,903+290,903$20,072
LHC GROUP INC 142,908 -6,364 $20,036
     LHCG142,908-6,364$20,036
DENALI THERAPEUTICS INC 1,140,257 +83,411 $19,966
     DNLI1,140,257+83,411$19,966
MOELIS & CO 703,569 -18,159 $19,770
     MC703,569-18,159$19,770
CASTLE BIOSCIENCES INC 650,145 +273,778 $19,381
     CSTL650,145+273,778$19,381
CHUYS HLDGS INC 1,886,757 -39,442 $19,000
     CHUY1,886,757-39,442$19,000
FLEXION THERAPEUTICS INC 2,315,642 +146,785 $18,224
     FLXN2,315,642+146,785$18,224
AXOS FINL INC 996,083 -49,280 $18,059
     AX996,083-49,280$18,059
CRYOLIFE INC 1,047,728 +253,734 $17,728
     CRY1,047,728+253,734$17,728
EXACT SCIENCES CORP 286,089 -432,605 $16,593
     EXAS286,089-432,605$16,593
VEEVA SYS INC 103,660 +32,467 $16,209
     VEEV103,660+32,467$16,209
ARTISAN PARTNERS ASSET MGMT 744,222 -156,866 $15,993
     APAM744,222-156,866$15,993
SOUTH ST CORP 271,422 -124,325 $15,941
     SSB271,422-124,325$15,941
DESCARTES SYS GROUP INC 451,374 +134,925 $15,537
     DSGX451,374+134,925$15,537
MACROGENICS INC 2,613,035 +415,334 $15,208
     MGNX2,613,035+415,334$15,208
TOWER SEMICONDUCTOR LTD 951,208 -407,228 $15,143
     TSEM951,208-407,228$15,143
ARBOR RLTY TR INC 3,089,006 +393,061 $15,136
     ABR3,089,006+393,061$15,136
MODEL N INC 674,397 +260,423 $14,978
     MODN674,397+260,423$14,978
NLIGHT INC 1,383,663 +491,614 $14,515
     LASR1,383,663+491,614$14,515
ISHARES TR (SMIN) 625,744 -4,399 $14,467
     SMIN625,744-4,399$14,467
LIMELIGHT NETWORKS INC 2,388,001 +41,939 $13,612
     LLNW2,388,001+41,939$13,612
FB FINL CORP 672,919 -3,431 $13,270
     FBK672,919-3,431$13,270
HUAZHU GROUP LTD 454,075 -678,071 $13,046
     HTHT454,075-678,071$13,046
GLAUKOS CORP 415,172 +211,417 $12,812
     GKOS415,172+211,417$12,812
COPA HOLDINGS SA 277,764 +9,514 $12,580
     CPA277,764+9,514$12,580
TRANSCAT INC 453,384 +75,621 $12,015
     TRNS453,384+75,621$12,015
ORTHOPEDIATRICS CORP 296,272 -67,607 $11,744
     KIDS296,272-67,607$11,744
DORMAN PRODUCTS INC 212,315 -55,616 $11,735
     DORM212,315-55,616$11,735
NATIONAL CINEMEDIA INC 3,562,752 +820,456 $11,615
     NCMI3,562,752+820,456$11,615
SIMULATIONS PLUS INC 325,468 +68,946 $11,365
     SLP325,468+68,946$11,365
TPI COMPOSITES INC 768,435 +134,980 $11,357
     TPIC768,435+134,980$11,357
ICF INTL INC 162,814 +6,555 $11,185
     ICFI162,814+6,555$11,185
EXAGEN INC 692,419 +341,006 $11,037
     XGN692,419+341,006$11,037
NAPCO SEC TECHNOLOGIES INC 714,870 +288,451 $10,845
     NSSC714,870+288,451$10,845
ALAMO GROUP INC 116,155 +7,677 $10,312
     ALG116,155+7,677$10,312
HEADHUNTER GROUP PLC 629,847 +578,197 $10,059
     HHR629,847+578,197$10,059
UFP TECHNOLOGIES INC 258,594 +17,585 $9,850
     UFPT258,594+17,585$9,850
LITHIA MTRS INC 113,828 -78,944 $9,310
     LAD113,828-78,944$9,310
NV5 GLOBAL INC 221,623 +21,074 $9,151
     NVEE221,623+21,074$9,151
SEATTLE GENETICS INC 78,943 -13,302 $9,108
     SGEN78,943-13,302$9,108
INMODE LTD 419,928 +110,552 $9,028
     INMD419,928+110,552$9,028
EMPLOYERS HOLDINGS INC 217,125 +217,125 $8,796
     EIG217,125+217,125$8,796
TRADEWEB MKTS INC 207,416 +60,736 $8,720
     TW207,416+60,736$8,720
ADDUS HOMECARE CORP 127,476 +16,712 $8,617
     ADUS127,476+16,712$8,617
LADDER CAP CORP 1,796,025 +59,615 $8,513
     LADR1,796,025+59,615$8,513
WAYFAIR INC 158,402 +17,965 $8,465
     W158,402+17,965$8,465
IPG PHOTONICS CORP 76,254 +35,858 $8,409
     IPGP76,254+35,858$8,409
ESQUIRE FINL HLDGS INC 552,405 -58,334 $8,314
     ESQ552,405-58,334$8,314
MEI PHARMA INC 5,070,718 +655,551 $8,164
     MEIP5,070,718+655,551$8,164
REGAL BELOIT CORP 127,500 +127,500 $8,026
     RBC127,500+127,500$8,026
ISHARES TR (INDA) 327,169 -13,728 $7,888
     INDA327,169-13,728$7,888
SELECTA BIOSCIENCES INC 3,223,602 -1,193,225 $7,769
     SELB3,223,602-1,193,225$7,769
MINERALS TECHNOLOGIES INC 213,877 +32,905 $7,755
     MTX213,877+32,905$7,755
MILLER HERMAN INC 339,892 +339,892 $7,546
     MLHR339,892+339,892$7,546
NU SKIN ENTERPRISES INC 331,619 -110,204 $7,246
     NUS331,619-110,204$7,246
EBIX INC 473,126 +60,614 $7,182
     EBIX473,126+60,614$7,182
DANA INCORPORATED 894,664 +172,374 $6,987
     DAN894,664+172,374$6,987
CHEFS WHSE INC 679,289 +495,193 $6,840
     CHEF679,289+495,193$6,840
DOMTAR CORP 313,854 +313,854 $6,792
     UFS313,854+313,854$6,792
AMERICAN EAGLE OUTFITTERS IN 847,756 +179,200 $6,740
     AEO847,756+179,200$6,740
HERITAGE CRYSTAL CLEAN INC 413,786 +67,647 $6,720
     HCCI413,786+67,647$6,720
BOOT BARN HLDGS INC 511,789 +319,037 $6,617
     BOOT511,789+319,037$6,617
XENIA HOTELS & RESORTS INC 637,048 +152,524 $6,562
     XHR637,048+152,524$6,562
LOVESAC COMPANY 1,111,927 +96,736 $6,483
     LOVE1,111,927+96,736$6,483
CRACKER BARREL OLD CTRY STOR 76,431 +76,431 $6,361
     CBRL76,431+76,431$6,361
BOSTON PRIVATE FINL HLDGS IN 886,042 +21,531 $6,335
     BPFH886,042+21,531$6,335
SQUARE INC 118,100 +118,100 $6,186
     SQ118,100+118,100$6,186
OPTIMIZERX CORP 661,175 +55,318 $5,990
     OPRX661,175+55,318$5,990
DMC GLOBAL INC 249,900 +74,885 $5,750
     BOOM249,900+74,885$5,750
DIAMOND EAGLE ACQUISITION CO 459,066 +459,066 $5,665
     DEAC459,066+459,066$5,665
PEOPLES UTAH BANCORP 290,353 +23,265 $5,624
     PUB290,353+23,265$5,624
OPTINOSE INC 1,195,601 +87,324 $5,368
     OPTN1,195,601+87,324$5,368
EGAIN CORP 731,074 +203,662 $5,359
     EGAN731,074+203,662$5,359
QAD INC 133,306 +14,590 $5,323
     QADA133,306+14,590$5,323
SUPERIOR GRP OF COMPANIES IN 624,538 +82,282 $5,284
     SGC624,538+82,282$5,284
CBTX INC 292,078 -43,891 $5,190
     CBTX292,078-43,891$5,190
TACTILE SYS TECHNOLOGY INC 127,276 +36,075 $5,111
     TCMD127,276+36,075$5,111
SYSTEMAX INC 287,359 +52,045 $5,095
     SYX287,359+52,045$5,095
JOHNSON & JOHNSON 38,600 +1,000 $5,062
     JNJ38,600+1,000$5,062
OOMA INC 424,206 +47,652 $5,061
     OOMA424,206+47,652$5,061
MASTERCRAFT BOAT HLDGS INC 685,755 +274,014 $5,006
     MCFT685,755+274,014$5,006
KIMBALL INTL INC 405,855 +405,855 $4,834
     KBAL405,855+405,855$4,834
BIODELIVERY SCIENCES INTL IN 1,235,093 -96,338 $4,681
     BDSI1,235,093-96,338$4,681
EXELON CORP 125,100 -18,600 $4,605
     EXC125,100-18,600$4,605
VARONIS SYS INC 71,340 -480,530 $4,542
     VRNS71,340-480,530$4,542
VIEMED HEALTHCARE INC 924,885 +184,645 $4,347
     VMD924,885+184,645$4,347
I3 VERTICALS INC 225,533 -34,613 $4,305
     IIIV225,533-34,613$4,305
SITIME CORP 197,104 +19,667 $4,291
     SITM197,104+19,667$4,291
DUKE ENERGY CORP NEW 52,235 -19,715 $4,225
     DUK52,235-19,715$4,225
HACKETT GROUP INC 309,286 -1,009,249 $3,934
     HCKT309,286-1,009,249$3,934
PFIZER INC 116,897 -62,209 $3,816
     PFE116,897-62,209$3,816
DIGI INTL INC 394,208 +92,524 $3,761
     DGII394,208+92,524$3,761
VIRTUSA CORP 131,622 -22,857 $3,738
     VRTU131,622-22,857$3,738
RADIANT LOGISTICS INC 923,334 -33,341 $3,573
     RLGT923,334-33,341$3,573
EATON CORP PLC 45,800 +12,200 $3,558
     ETN45,800+12,200$3,558
JOHN BEAN TECHNOLOGIES CORP 47,009 +10,642 $3,491
     JBT47,009+10,642$3,491
SUNCOR ENERGY INC NEW 212,574 +25,180 $3,394
     SU212,574+25,180$3,394
PURPLE INNOVATION INC 587,006 +587,006 $3,334
     PRPL587,006+587,006$3,334
SOLARIS OILFIELD INFRSTR INC 627,913 +77,059 $3,297
     SOI627,913+77,059$3,297
OMNICELL INC 50,061 -6,606 $3,283
     OMCL50,061-6,606$3,283
SCIENCE APPLICATNS INTL CP N 43,787 +43,787 $3,268
     SAIC43,787+43,787$3,268
GLOBAL WTR RES INC 319,367 -66,982 $3,254
     GWRS319,367-66,982$3,254
AXIS CAPITAL HOLDINGS LTD 83,102 +102 $3,212
     AXS83,102+102$3,212
TUCOWS INC 66,127 -27,722 $3,191
     TCX66,127-27,722$3,191
CENTENE CORP DEL 52,000 -13,000 $3,089
     CNC52,000-13,000$3,089
MEREDITH CORP 242,361 -1,205 $2,962
     MDP242,361-1,205$2,962
AT&T INC 101,600 -10,047 $2,962
     T101,600-10,047$2,962
CITIGROUP INC 69,914 +18,228 $2,945
     C69,914+18,228$2,945
WALMART INC 23,602 -3,000 $2,682
     WMT23,602-3,000$2,682
CARDLYTICS INC 71,270 +71,270 $2,492
     CDLX71,270+71,270$2,492
RED VIOLET INC 137,127 +137,127 $2,468
     RDVT137,127+137,127$2,468
SHARPSPRING INC 392,503 -125,830 $2,379
     SHSP392,503-125,830$2,379
NUCOR CORP 62,049 +62,049 $2,235
     NUE62,049+62,049$2,235
NVE CORP 42,910 -6,823 $2,233
     NVEC42,910-6,823$2,233
SOUND FINL BANCORP INC 103,195 -17,351 $2,202
     SFBC103,195-17,351$2,202
INTERNATIONAL BUSINESS MACHS 19,360 -18,139 $2,148
     IBM19,360-18,139$2,148
KURA SUSHI USA INC 171,536 -23,850 $2,052
     KRUS171,536-23,850$2,052
FRANKLIN COVEY CO 125,333 +125,333 $1,948
     FC125,333+125,333$1,948
MEDIFAST INC 30,860 -17,517 $1,929
     MED30,860-17,517$1,929
GENERAL MTRS CO 92,750 +92,750 $1,927
     GM92,750+92,750$1,927
ING GROEP N.V. 335,000 +50,000 $1,725
     ING335,000+50,000$1,725
JPMORGAN CHASE & CO 19,150 +19,150 $1,724
     JPM19,150+19,150$1,724
BG STAFFING INC 198,378 -54,933 $1,484
     BGSF198,378-54,933$1,484
IRIDEX CORP 879,608 +290,565 $1,416
     IRIX879,608+290,565$1,416
MITCHAM INDS INC 1,070,281 UNCH $1,338
     MIND1,070,281UNCH$1,338
ONE STOP SYS INC 911,345 -132,935 $1,312
     OSS911,345-132,935$1,312
ATARA BIOTHERAPEUTICS INC 139,751 -961,352 $1,189
     ATRA139,751-961,352$1,189
EPR PPTYS 47,901 -8,849 $1,160
     EPR47,901-8,849$1,160
PATRICK INDS INC 40,083 -61,791 $1,129
     PATK40,083-61,791$1,129
UNION PAC CORP 7,600 +7,600 $1,072
     UNP7,600+7,600$1,072
TEXAS INSTRS INC 9,700 +9,700 $969
     TXN9,700+9,700$969
LONESTAR RES US INC 2,108,743 +900 $873
     LONE2,108,743+900$873
RF INDS LTD 214,616 -115,314 $852
     RFIL214,616-115,314$852
JOINT CORP 78,000 +78,000 $846
     JYNT78,000+78,000$846
CREDICORP LTD 3,632 -2,498 $520
     BAP3,632-2,498$520
TEXAS CAPITAL BANCSHARES INC (TCBI) 19,606 -1,896,527 $435
     TCBI19,606-1,896,527$435
ROPER TECHNOLOGIES INC 1,314 +566 $410
     ROP1,314+566$410
AMPHENOL CORP NEW 5,244 +2,511 $382
     APH5,244+2,511$382
HENRY JACK & ASSOC INC 2,455 +811 $381
     JKHY2,455+811$381
MARKETAXESS HLDGS INC 1,099 +1,099 $365
     MKTX1,099+1,099$365
AMETEK INC 4,596 +1,793 $331
     AME4,596+1,793$331
COGNEX CORP 6,241 +6,241 $263
     CGNX6,241+6,241$263
WEX INC 2,124 +1,067 $222
     WEX2,124+1,067$222
AMBARELLA INC $0 (exited)
     AMBA0-67,282$0
ABRAXAS PETE CORP $0 (exited)
     AXAS0-2,524,023$0
BELDEN INC $0 (exited)
     BDC0-185,954$0
CREDIT ACCEP CORP MICH $0 (exited)
     CACC0-278,346$0
CAPITAL BANCORP INC MD $0 (exited)
     CBNK0-363,925$0
VIACOMCBS INC $0 (exited)
     CBS0-45,804$0
CROSSFIRST BANKSHARES INC $0 (exited)
     CFB0-348,592$0
COCRYSTAL PHARMA INC $0 (exited)
     COCP0-1,799,496$0
DIGIMARC CORP NEW $0 (exited)
     DMRC0-114,476$0
FORRESTER RESH INC $0 (exited)
     FORR0-37,160$0
REPUBLIC FIRST BANCORP INC $0 (exited)
     FRBK0-3,111,906$0
GRAN TIERRA ENERGY INC $0 (exited)
     GTE0-5,421,076$0
HABIT RESTAURANTS INC $0 (exited)
     HABT0-636,707$0
HEALTHCARE SVCS GRP INC $0 (exited)
     HCSG0-4,656,316$0
INSTRUCTURE INC $0 (exited)
     INST0-72,495$0
INTERXION HOLDING N.V $0 (exited)
     INXN0-131,620$0
INPHI CORP $0 (exited)
     IPHI0-293,798$0
INVESTAR HLDG CORP $0 (exited)
     ISTR0-202,726$0
ISHARES TR $0 (exited)
     IWO0-468$0
KOHLS CORP $0 (exited)
     KSS0-30,000$0
LEMAITRE VASCULAR INC $0 (exited)
     LMAT0-231,875$0
MATTHEWS INTL CORP $0 (exited)
     MATW0-270,564$0
MFA FINL INC $0 (exited)
     MFA0-3,004,603$0
MESA LABS INC $0 (exited)
     MLAB0-26,379$0
MAXLINEAR INC $0 (exited)
     MXL0-431,885$0
OIL STS INTL INC $0 (exited)
     OIS0-751,803$0
ORACLE CORP $0 (exited)
     ORCL0-76,052$0
PROTO LABS INC $0 (exited)
     PRLB0-111,270$0
SCHLUMBERGER LTD $0 (exited)
     SLB0-76,697$0
SLEEP NUMBER CORP $0 (exited)
     SNBR0-272,411$0
TELENAV INC $0 (exited)
     TNAV0-369,383$0
USANA HEALTH SCIENCES INC $0 (exited)
     USNA0-90,160$0
VICI PPTYS INC $0 (exited)
     VICI0-172,299$0
WESCO INTL INC $0 (exited)
     WCC0-211,605$0
WELLS FARGO CO NEW 0 -113,344 $0 (exited)
     WFC0-113,344$0

See Summary: Wasatch Advisors Inc. Top Holdings
See Details: Top 10 Stocks Held By Wasatch Advisors Inc.

EntityShares/Amount
Change
Position Value
Change
AVLR +782,678+$58,388
NVMI +1,682,945+$54,948
LGND +689,855+$50,166
RPAY +2,144,148+$30,769
USPH +290,903+$20,072
EIG +217,125+$8,796
RBC +127,500+$8,026
MLHR +339,892+$7,546
UFS +313,854+$6,792
CBRL +76,431+$6,361
EntityShares/Amount
Change
Position Value
Change
CACC -278,346-$123,121
HCSG -4,656,316-$113,242
MFA -3,004,603-$22,985
IPHI -293,798-$21,747
SNBR -272,411-$13,414
FRBK -3,111,906-$13,008
WCC -211,605-$12,567
OIS -751,803-$12,262
PRLB -111,270-$11,299
INXN -131,620-$11,031
EntityShares/Amount
Change
Position Value
Change
MDLA +3,503,156+$15,297
PLNT +1,774,658+$65,003
OZK +1,462,184+$21,339
PNTGV +1,380,854-$14,406
ITCI +1,150,566-$16,061
OLLI +1,093,146-$8,241
SILK +1,000,885+$27,580
ENSG +825,329-$5,901
NCMI +820,456-$8,376
VVV +806,038-$36,041
EntityShares/Amount
Change
Position Value
Change
KNX -4,297,677-$156,537
INO -3,882,029+$2,097
TCBI -1,896,527-$108,344
SGMO -1,548,583-$24,838
CCC -1,378,416-$11,113
SELB -1,193,225-$2,306
HCKT -1,009,249-$17,347
ATRA -961,352-$16,946
HTHT -678,071-$32,319
Size ($ in 1000's)
At 03/31/2020: $9,604,168
At 12/31/2019: $12,194,255

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

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