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Pier Capital 13F filings

Manager(s): Alexander Yakirevich

Holdings as of 2023-03-31

Filed on 2023-05-10 under CIK 1310051

Company
Investment Type
Change
Value (x$1000)
increase or decrease
Hexcel Corp
208,715 sh
7,979 sh
4%
$14,245
$2,432
Maximus Inc
180,018 sh
5,272 sh
3%
$14,167
$1,353
WillScot Mobile Mini Holdings Corp.
260,380 sh
7,456 sh
3%
$12,207
$782
FTI Consulting Inc.
55,340 sh
11,588 sh
26%
$10,921
$3,973
WNS HOLDINGS LTD SPON ADR
115,724 sh
4,569 sh
4%
$10,782
$1,891
Option Care Health Inc
328,460 sh
85,008 sh
35%
$10,435
$3,110
COTY INC COM CL A
828,792 sh
828,792 sh
NEW
$9,995
$9,995
DoubleVerify Holdings Inc.
329,060 sh
9,623 sh
3%
$9,921
$2,906
Lattice Semiconductor Corp
102,042 sh
-57,114 sh
-36%
$9,745
-$581
Krispy Kreme Inc.
614,792 sh
614,792 sh
NEW
$9,560
$9,560
GLOBANT S A COM
57,620 sh
13,375 sh
30%
$9,450
$2,010
Five Below Inc
45,230 sh
15,854 sh
54%
$9,316
$4,120
Itron Inc
166,594 sh
5,576 sh
3%
$9,238
$1,082
Exponent Inc
92,125 sh
3,760 sh
4%
$9,184
$428
MasTec Inc.
96,510 sh
3,872 sh
4%
$9,114
$1,209
Flowserve Corp
266,904 sh
47,366 sh
22%
$9,075
$2,340
Privia Health Group Inc.
328,392 sh
134,190 sh
69%
$9,067
$4,657
Onto Innovation Inc.
96,456 sh
-20,806 sh
-18%
$8,477
$493
MSA Safety Inc.
63,346 sh
2,134 sh
3%
$8,457
-$369
Lindsay Corp
55,873 sh
2,125 sh
4%
$8,444
-$309
Houlihan Lokey Inc
95,372 sh
-16,045 sh
-14%
$8,344
-$1,367
Freshpet Inc
124,019 sh
4,201 sh
4%
$8,209
$1,886
Allegro MicroSystems Inc.
170,029 sh
-50,338 sh
-23%
$8,160
$1,545
Duolingo Inc.
56,948 sh
937 sh
2%
$8,120
$4,136
RadNet Inc.
323,205 sh
-118,959 sh
-27%
$8,090
-$236
Ollie's Bargain Outlet Holdings Inc.
139,346 sh
64,872 sh
87%
$8,074
$4,586
INTRA CELLULAR THERAPIES INC COM
147,896 sh
5,155 sh
4%
$8,009
$455
Eventbrite Inc
933,200 sh
32,028 sh
4%
$8,007
$2,726
Repligen Corp
47,347 sh
10,994 sh
30%
$7,971
$1,816
Vertex, Inc.
383,224 sh
383,224 sh
NEW
$7,929
$7,929
Axcelis Technologies Inc
59,122 sh
684 sh
1%
$7,878
$3,240
Alphatec Holdings Inc.
504,186 sh
-106,442 sh
-17%
$7,865
$324
Calix Inc.
146,105 sh
50,737 sh
53%
$7,830
$1,304
GLOBAL E ONLINE LTD SHS
241,219 sh
241,219 sh
NEW
$7,774
$7,774
Surgery Partners Inc
225,182 sh
-51,182 sh
-19%
$7,762
$62
ONESPAWORLD HOLDINGS LIMITED COM
646,943 sh
247,659 sh
62%
$7,757
$4,032
Appfolio Inc
62,235 sh
25,819 sh
71%
$7,747
$3,909
Silicon Laboratories Inc
43,469 sh
-21,123 sh
-33%
$7,611
-$1,152
Vaxcyte, Inc. COM
202,560 sh
91,355 sh
82%
$7,592
$2,260
Texas Roadhouse Inc
70,177 sh
-21,213 sh
-23%
$7,583
-$729
Fabrinet
62,879 sh
1,713 sh
3%
$7,468
-$375
Power Integrations Inc
88,057 sh
21,758 sh
33%
$7,453
$2,698
SI-BONE Inc.
378,746 sh
22,185 sh
6%
$7,450
$2,601
Wingstop Inc
40,070 sh
-25,964 sh
-39%
$7,356
-$1,732
IMAX Corp.
380,026 sh
380,026 sh
NEW
$7,289
$7,289
Adaptive Biotechnologies Corp
823,986 sh
-188,415 sh
-19%
$7,276
-$459
Dave & Buster's Entertainment Inc.
196,883 sh
7,723 sh
4%
$7,243
$539
Amedisys Inc
96,847 sh
39,010 sh
67%
$7,123
$2,291
Planet Fitness Inc
91,583 sh
-25,806 sh
-22%
$7,113
-$2,137
Five9 Inc.
97,257 sh
-15,784 sh
-14%
$7,031
-$640
Shoals Technologies Group Inc.
302,202 sh
97,965 sh
48%
$6,887
$1,848
SiteOne Landscape Supply Inc.
50,249 sh
-13,657 sh
-21%
$6,878
-$619
SEACOAST BKG CORP FLA COM NEW
267,065 sh
29,364 sh
12%
$6,329
-$1,085
Point Biopharma Global Inc. COM
862,736 sh
862,736 sh
NEW
$6,272
$6,272
Crocs Inc
49,597 sh
775 sh
2%
$6,271
$977
Inter Parfums Inc
43,862 sh
-37,549 sh
-46%
$6,239
-$1,619
Silk Road Medical Inc
159,358 sh
5,181 sh
3%
$6,236
-$1,912
Fox Factory Holding Corp
50,783 sh
776 sh
2%
$6,164
$1,602
Axon Enterprise Inc
27,229 sh
-19,310 sh
-41%
$6,122
-$1,600
BWX Technologies Inc
95,994 sh
-1,358 sh
-1%
$6,051
$397
elf Beauty Inc.
70,863 sh
-59,168 sh
-46%
$5,836
-$1,355
SiTime Corp.
40,978 sh
40,978 sh
NEW
$5,828
$5,828
AZEK Co. Inc.
240,655 sh
240,655 sh
NEW
$5,665
$5,665
Deckers Outdoor Corp
12,511 sh
-9,031 sh
-42%
$5,624
-$2,975
IVERIC BIO INC COM
231,162 sh
2,410 sh
1%
$5,624
$726
Alteryx Inc
95,188 sh
-66,977 sh
-41%
$5,601
-$2,616
Sprout Social Inc
86,042 sh
18,247 sh
27%
$5,238
$1,410
Evercore Inc
45,199 sh
-34,220 sh
-43%
$5,215
-$3,448
APELLIS PHARMACEUTICALS INC COM
76,066 sh
849 sh
1%
$5,017
$1,128
Shift4 Payments, Inc.
66,162 sh
-127,638 sh
-66%
$5,015
-$5,824
Dynatrace Inc
115,624 sh
-85,041 sh
-42%
$4,891
-$2,794
Gitlab Inc.
133,236 sh
133,236 sh
NEW
$4,569
$4,569
Roivant Sciences Ltd.
615,939 sh
615,939 sh
NEW
$4,546
$4,546
Doximity Inc.
138,213 sh
-110,073 sh
-44%
$4,475
-$3,857
Grocery Outlet Holding Corp
157,578 sh
352 sh
0%
$4,453
-$136
Vita Coco Co. Inc.
223,498 sh
223,498 sh
NEW
$4,385
$4,385
Omnicell Inc
74,564 sh
26,245 sh
54%
$4,375
$1,939
Maravai LifeSciences Holdings Inc.
301,348 sh
29,193 sh
11%
$4,222
$327
TECHNIPFMC PLC COM
301,966 sh
-3,001 sh
-1%
$4,122
$404
ON HLDG AG NAMEN AKT A Stock
132,285 sh
132,285 sh
NEW
$4,105
$4,105
Jamf Holding Corp.
208,128 sh
-100,820 sh
-33%
$4,042
-$2,539
Inari Medical, Inc.
64,429 sh
-35,355 sh
-35%
$3,978
-$2,364
Bloom Energy Corp
196,198 sh
-11,013 sh
-5%
$3,910
-$52
Progyny Inc
119,919 sh
-194 sh
0%
$3,852
$110
BioLife Solutions Inc.
176,941 sh
20,953 sh
13%
$3,848
$1,009
Installed Building Products Inc
33,134 sh
33,134 sh
NEW
$3,778
$3,778
Papa John's International Inc.
49,631 sh
-65,130 sh
-57%
$3,719
-$5,727
Kura Sushi USA Inc.
56,272 sh
-16,674 sh
-23%
$3,705
$227
Blackline Inc
53,072 sh
-28,956 sh
-35%
$3,564
-$1,954
TG THERAPEUTICS INC COM
233,472 sh
233,472 sh
NEW
$3,511
$3,511
Air Transport Services Group Inc
166,154 sh
-599 sh
0%
$3,461
-$871
IMMUNOCORE HOLDINGS PLC-ADR (IMCR US) ADS
68,544 sh
-189 sh
0%
$3,389
-$534
Halozyme Therapeutics Inc
87,958 sh
-83,366 sh
-49%
$3,359
-$6,389
Aehr Test Systems
107,253 sh
-31,564 sh
-23%
$3,327
$537
BigCommerce Holdings, Inc.
292,930 sh
292,930 sh
NEW
$2,619
$2,619
Alector Inc
363,608 sh
-7,741 sh
-2%
$2,251
-$1,177
Crowdstrike Holdings Inc
7,329 sh
-1,281 sh
-15%
$1,006
$99
MSCI Inc
1,546 sh
-269 sh
-15%
$865
$21
Trade Desk Inc
14,106 sh
6,452 sh
84%
$859
$516
Tradeweb Markets Inc
10,539 sh
3,614 sh
52%
$833
$383
Wolfspeed Inc
11,047 sh
-390 sh
-3%
$718
-$72
Solaredge Technologies Inc
2,325 sh
-410 sh
-15%
$707
-$68
Insulet Corp
2,054 sh
-363 sh
-15%
$655
-$57
Cheniere Energy Inc
4,149 sh
-725 sh
-15%
$654
-$77
Dexcom Inc
5,298 sh
-926 sh
-15%
$616
-$89
Pinterest Inc
19,375 sh
-22,429 sh
-54%
$528
-$487
ZoomInfo Technologies Inc.
15,638 sh
4,078 sh
35%
$386
$38
FIRST MERCHANTS CORP COM
0 sh
-240,751 sh
-100%
$0
-$9,897
Glacier Bancorp, Inc. COM
0 sh
-192,729 sh
-100%
$0
-$9,525
Montrose Environmental Group, Inc.
0 sh
-191,001 sh
-100%
$0
-$8,479
JFrog Ltd.
0 sh
-288,953 sh
-100%
$0
-$6,163
MaxCyte Inc.
0 sh
-1,074,164 sh
-100%
$0
-$5,865
Azenta, Inc.
0 sh
-86,578 sh
-100%
$0
-$5,041
Lantheus Holdings Inc
0 sh
-85,612 sh
-100%
$0
-$4,363
Cerus Corp
0 sh
-978,695 sh
-100%
$0
-$3,572
Dutch Bros Inc.
0 sh
-121,002 sh
-100%
$0
-$3,411
ALX Oncology Holdings Inc. Stock
0 sh
-271,848 sh
-100%
$0
-$3,064
ANAVEX LIFE SCIENCES CORP COM NEW
0 sh
-280,854 sh
-100%
$0
-$2,601
ALLOGENE THERAPEUTICS INC COM
0 sh
-262,832 sh
-100%
$0
-$1,653