13F Filings for Bares Capital Management, Inc. (CIK: 1340807)

View the most recent portfolio holdings disclosed by Bares Capital Management, Inc. in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
IBKR - Interactive Brokers Group Inc(Class: COM)844.54K $139.85M -Decreased 107.11K (11.0%, $28.28M)
PEGA - Pegasystems Inc(Class: COM)2.01M $139.46M -Decreased 358.96K (15.0%, $80.96M)
WDAY - Workday Inc.(Class: COM)570.83K $133.31M -Decreased 52.75K (8.0%, $27.60M)
XYZ - Block Inc(Class: COM)2.27M $123.23M -Decreased 320.51K (12.0%, $96.78M)
CSGP - CoStar Group(Class: COM)1.13M $89.77M -Increased 483.80K (74.0%, $43.29M)
ALGN - Align Technology Inc.(Class: COM)537.61K $85.40M -Increased 24.48K (4.0%, $21.59M)
ETSY - Etsy Inc(Class: COM)1.51M $71.19M -Decreased 382.64K (20.0%, $28.85M)
W - Wayfair Inc(Class: COM)795.06K $25.47M -Decreased 173.29K (17.0%, $17.45M)
VEEV - Veeva Systems Inc.(Class: COM)104.36K $24.17M -Decreased 25.87K (19.0%, $3.21M)
MEDP - Medpace Holdings, Inc.(Class: COM)37.48K $11.42M -New 37.48K ($11.42M)
SNEX - StoneX Group Inc(Class: COM)109.90K $8.39M -New 109.90K ($8.39M)
BRO - Brown Brown Inc(Class: COM)213 $26.50K -New 213 ($26.50K)
AME - AMETEK Inc(Class: COM)152 $26.16K -New 152 ($26.16K)
HEI.A - HEICO Corporation Class A(Class: COM)122 $25.74K -New 122 ($25.74K)
APH - Amphenol Corporation Class A(Class: COM)353 $23.15K -New 353 ($23.15K)
KAI - Kadant Inc(Class: COM)60 $20.21K -New 60 ($20.21K)
VRSK - Verisk Analytics Inc.(Class: COM)58 $17.26K -New 58 ($17.26K)
WSO - Watsco Inc(Class: COM)33 $16.77K -New 33 ($16.77K)
TYL - Tyler Technologies, Inc.(Class: COM)28 $16.28K -New 28 ($16.28K)
MCO - Moody`s Corporation(Class: COM)34 $15.83K -New 34 ($15.83K)
DHR - Danaher Corporation(Class: COM)68 $13.94K -New 68 ($13.94K)
DESP - Despegar.com Corp(Class: COM)0 $0 -Exited 25.44K ($489.78K)
TWLO - Twilio Inc.(Class: COM)0 $0 -Exited 159.04K ($17.19M)