13F Filings for Van Berkom Associates Inc. (CIK: 1524408)
View the most recent portfolio holdings disclosed by Van Berkom Associates Inc. in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
LAUR - LAUREATE EDUCATION INC.(Class: COMMON STOCK) | 4.96M | $116.07K | 3.45% | Decreased | 131.16K (2.0%, $11.86K) |
ENSG - ENSIGN GROUP INC.(Class: COM) | 751.15K | $115.87K | 3.45% | Decreased | 48.96K (6.0%, $12.34K) |
VCTR - VICTORY CAP HLDGS INC. COM CL A(Class: COM CL A) | 1.78M | $113.59K | 3.38% | Decreased | 16.90K (0.0%, $9.37K) |
SNEX - STONEX GROUP INC.(Class: COM) | 1.20M | $109.09K | 3.25% | Decreased | 211.68K (15.0%, $1.50K) |
EEFT - EURONET WORLDWIDE INC.(Class: COM) | 1.03M | $104.75K | 3.12% | Increased | 23.82K (2.0%, $3.11K) |
HLNE - HAMILTON LANE INC.(Class: CL A) | 681.07K | $96.79K | 2.88% | Increased | 21.85K (3.0%, $1.21K) |
LOPE - GRAND CANYON EDUCATION INC.(Class: COM) | 508.07K | $96.03K | 2.86% | Decreased | 69.63K (12.0%, $3.93K) |
AWI - ARMSTRONG WORLD INDS INC.(Class: COM) | 553.36K | $89.89K | 2.68% | Decreased | 55.28K (9.0%, $4.14K) |
FSS - FEDERAL SIGNAL CORP.(Class: COM) | 836.87K | $89.06K | 2.65% | Decreased | 208.69K (19.0%, $12.16K) |
MMS - MAXIMUS INC.(Class: COM) | 1.27M | $88.84K | 2.64% | Decreased | 9.79K (0.0%, $1.88K) |
SHAK - SHAKE SHACK INC. CL A(Class: CL A) | 630.11K | $88.59K | 2.64% | Decreased | 155.49K (19.0%, $19.33K) |
ORA - ORMAT TECHNOLOGIES INC.(Class: COM) | 1.04M | $87.28K | 2.60% | Decreased | 238.03K (18.0%, $3.31K) |
IRDM - IRIDIUM COMMUNICATIONS INC.(Class: COM) | 2.86M | $86.38K | 2.57% | Decreased | 22.17K (0.0%, $7.55K) |
OZK - BANK OZK(Class: COM) | 1.81M | $84.98K | 2.53% | Decreased | 22.99K (1.0%, $5.52K) |
PNTG - PENNANT GROUP INC.(Class: COM) | 2.83M | $84.41K | 2.51% | Decreased | 21.61K (0.0%, $12.75K) |
CCCS - CCC INTELLIGENT SOLUTIONS HLD(Class: COM) | 8.74M | $82.28K | 2.45% | Increased | 991.16K (12.0%, $12.27K) |
PCTY - PAYLOCITY HLDG CORP.(Class: COM) | 453.75K | $82.22K | 2.45% | Decreased | 36.97K (7.0%, $9.72K) |
PLNT - PLANET FITNESS INC CL A(Class: CL A) | 743.76K | $81.11K | 2.41% | Decreased | 4.96K (0.0%, $8.77K) |
NMIH - NMI HOLDINGS INC.(Class: COM) | 1.90M | $80.23K | 2.39% | Decreased | 199.40K (9.0%, $4.49K) |
IBP - INSTALLED BLDG PRODS INC.(Class: COM) | 443.55K | $79.98K | 2.38% | Increased | 14.09K (3.0%, $6.34K) |
RLI - RLI CORP.(Class: COM) | 1.07M | $77.52K | 2.31% | Decreased | 1.91K (0.0%, $8.86K) |
PRIM - PRIMORIS SERVICES CORP.(Class: COM) | 980.95K | $76.45K | 2.28% | Decreased | 75.75K (7.0%, $15.79K) |
GMED - GLOBUS MEDICAL INC.(Class: CL A) | 1.28M | $75.79K | 2.26% | Increased | 165.77K (14.0%, $6.08K) |
SGI - SOMNIGROUP INTERNATIONAL INC.(Class: COM) | 1.11M | $75.64K | 2.25% | Decreased | 47.81K (4.0%, $6.22K) |
FIVN - FIVE9 INC(Class: COM) | 2.85M | $75.34K | 2.24% | Increased | 704.29K (32.0%, $17.21K) |