13F Filings for Montanaro Asset Management Ltd (CIK: 1831133)

View the most recent portfolio holdings disclosed by Montanaro Asset Management Ltd in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
BSY - BENTLEY SYS INC(Class: COM CL B)436.90K $23.58M 6.08%Increased 127.66K (41.0%, $11.41M)
TYL - TYLER TECHNOLOGIES INC(Class: COM)38.08K $22.57M 5.82%Decreased 3.39K (8.0%, $1.53M)
NVMI - NOVA LTD(Class: COM)71.83K $19.77M 5.10%Increased 7.71K (12.0%, $7.95M)
LRN - STRIDE INC(Class: COM)120K $17.42M 4.49%Decreased 20.60K (14.0%, $363.10K)
TMDX - TRANSMEDICS GROUP INC(Class: COM)125.94K $16.88M 4.35%Decreased 27.74K (18.0%, $6.54M)
TREX - TREX CO INC(Class: COM)300.46K $16.34M 4.21%Increased 7.66K (2.0%, $672.56K)
TECH - BIO-TECHNE CORP(Class: COM)294.95K $15.18M 3.91%Increased 38.35K (14.0%, $130.72K)
ROL - ROLLINS INC(Class: COM)265K $14.95M 3.85%Increased 5K (1.0%, $903.50K)
HLI - HOULIHAN LOKEY INC(Class: CL A)81K $14.58M 3.76%Increased 1.50K (1.0%, $1.74M)
MANH - MANHATTAN ASSOCIATES INC(Class: COM)71.06K $14.03M 3.62%Increased 9.14K (14.0%, $3.32M)
PAYC - PAYCOM SOFTWARE INC(Class: COM)57.50K $13.31M 3.43%Increased 38.66K (205.0%, $9.19M)
BRKR - BRUKER CORP(Class: COM)310.70K $12.80M 3.30%Decreased 8K (2.0%, $501.70K)
AWK - AMERICAN WTR WKS CO INC NEW(Class: COM)86.54K $12.04M 3.10%Decreased 760 (0.0%, $839.92K)
BCPC - BALCHEM CORP(Class: COM)74.40K $11.84M 3.05%Decreased 500 (0.0%, $588.92K)
ANSS - ANSYS INC(Class: COM)32.90K $11.56M 2.98%Decreased 1.31K (3.0%, $726.89K)
CSW - CSW INDUSTRIALS INC(Class: COM)40K $11.47M 2.96%Increased 5K (14.0%, $1.27M)
VEEV - VEEVA SYS INC(Class: CL A COM)35.80K $10.31M 2.66%Decreased 4.43K (11.0%, $991.21K)
ALRM - ALARM COM HLDGS INC(Class: COM)177.60K $10.05M 2.59%Increased 2.81K (1.0%, $319.77K)
FN - FABRINET(Class: SHS)33K $9.72M 2.51%Decreased 759 (2.0%, $3.06M)
SITM - SITIME CORP(Class: COM)45K $9.59M 2.47%Decreased 659 (1.0%, $2.61M)
EXPO - EXPONENT INC(Class: COM)121.60K $9.08M 2.34%Decreased 2.60K (2.0%, $982.92K)
HWKN - HAWKINS INC(Class: COM)59.10K $8.40M 2.17%Increased 44.10K (294.0%, $6.81M)
FCN - FTI CONSULTING INC(Class: COM)50K $8.07M 2.08%Increased 5K (11.0%, $691.40K)
GGG - GRACO INC(Class: COM)90K $7.74M 1.99%Unchanged
TW - TRADEWEB MKTS INC(Class: CL A)52.50K $7.69M 1.98%Increased 5.50K (11.0%, $708.38K)