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Pier Capital, LLC 13F filings

Manager(s): Alexander Yakirevich

Holdings as of 2020-09-30

Filed on 2020-11-13 under CIK 1310051

Company name, stock class and CUSIPValue (x$1000) Shares
Evercore Inc.
COM 29977A105
$10,856$2,488165,847 sh23,832 sh
17%
MSA SAFETY INC
COM 553498106
$10,027$2,77674,737 sh11,377 sh
18%
BANDWIDTH INC
COM CL A 05988J103
$9,824$2,56756,275 sh-869 sh
-2%
CROCS INC
COM 227046109
$9,790$1,239229,105 sh-3,145 sh
-1%
BLACKLINE INC
COM 09239B109
$9,614$1,301107,263 sh6,998 sh
7%
LATTICE SEMICONDUCTOR CORP
COM 518415104
$9,291$80320,826 sh-3,618 sh
-1%
UPWORK INC
COM 91688F104
$9,270$9,270531,517 sh531,517 sh
NEW
Enphase Energy, Inc.
COM 29355A107
$9,244$1,999111,929 sh-40,373 sh
-27%
FTI CONSULTING INC
COM 302941109
$8,902-$89584,007 sh-1,522 sh
-2%
AMEDISYS INC
COM 023436108
$8,826$1,22237,331 sh-970 sh
-3%
SEACOAST BKG CORP FLA
COM NEW 811707801
$8,720$1,825483,611 sh145,620 sh
43%
Cardlytics Inc.
COM 14161W105
$8,645$3,995122,506 sh56,058 sh
84%
Air Transport Services Grp
COM 00922R105
$8,606$815343,409 sh-6,423 sh
-2%
MAXIMUS INC
COM 577933104
$8,565$1,691125,207 sh27,628 sh
28%
WORKIVA INC
COM CL A 98139A105
$8,224$20147,484 sh-5,896 sh
-4%
WNS HOLDINGS LTD
SPON ADR 92932M101
$8,205$542128,279 sh-11,107 sh
-8%
EMERGENT BIOSOLUTN INC COM
COM 29089Q105
$8,194$4,11479,300 sh27,712 sh
54%
CHART INDUSTRIES
COM 16115Q308
$8,164$289116,179 sh-46,228 sh
-28%
FIVE9 INC
COM 338307101
$8,144$95362,797 sh-2,182 sh
-3%
BJS WHSL CLUB HLDGS INC
COM 05550J101
$8,143-$786195,985 sh-43,601 sh
-18%
FIRST MERCHANTS CORP
COM 320817109
$8,125$1,426350,819 sh107,853 sh
44%
PROGYNY INC
COM 74340E103
$8,071$907274,260 sh-3,313 sh
-1%
SITEONE LANDSCAPE SUPPLY
COM 82982L103
$8,068-$1,49166,161 sh-17,712 sh
-21%
TREX CO INC
COM 89531P105
$8,019$599112,001 sh54,955 sh
96%
FORMFACTOR INC
COM 346375108
$8,001$8,001320,946 sh320,946 sh
NEW
ENDAVA PLC
ADS 29260V105
$7,959$7,959126,029 sh126,029 sh
NEW
MERCURY SYS INC
COM 589378108
$7,936$1,287102,458 sh17,932 sh
21%
BROOKS AUTOMATION INC
COM 114340102
$7,867-$6170,060 sh-7,903 sh
-4%
METHODE ELECTRS INC
COM 591520200
$7,842$2,370275,155 sh100,096 sh
57%
LHC Group
COM 50187A107
$7,798-$68936,685 sh-11,999 sh
-25%
PAGERDUTY INC
COM 69553P100
$7,787$7,787287,223 sh287,223 sh
NEW
HOULIHAN LOKEY INC
CL A 441593100
$7,725$1,075130,826 sh11,310 sh
9%
UNIFIRST CORP MASS
COM 904708104
$7,670$7,67040,501 sh40,501 sh
NEW
INTELLIGENT SYS CORP NEW
COM 45816D100
$7,618$847195,423 sh-3,244 sh
-2%
PURPLE INNOVATION INC
COM 74640Y106
$7,572$7,572304,580 sh304,580 sh
NEW
KORNIT DIGITAL LTD
SHS M6372Q113
$7,555$1,262116,463 sh-1,436 sh
-1%
1LIFE HEALTHCARE INC
COMMON STOCK 68269G107
$7,546$7,546266,066 sh266,066 sh
NEW
ITRON INC
COM 465741106
$7,500-$1,049123,483 sh-5,557 sh
-4%
MIMECAST LTD
ORD SHS G14838109
$7,493$1,926159,689 sh26,048 sh
19%
INTER PARFUMS INC
COM 458334109
$7,492$575200,590 sh56,937 sh
40%
IOVANCE BIOTHERAPEUTICS INC
COM 462260100
$7,491$7,491227,564 sh227,564 sh
NEW
WILLSCOT CORP
COM 971378104
$7,483$7,483448,606 sh448,606 sh
NEW
Saia, Inc.
COM 78709Y105
$7,455$78459,098 sh-904 sh
-2%
Omnicell, Inc.
COM 68213N109
$7,422$25399,404 sh-2,109 sh
-2%
Axon Enterprise Inc
COM 05464C101
$7,345-$75180,980 sh-1,522 sh
-2%
APPIAN CORP
CL A 03782L101
$7,312$1,163112,932 sh-7,053 sh
-6%
FOX FACTORY HOLDING
COM 35138V102
$7,280$2,53897,947 sh40,550 sh
71%
VITAL FARMS INC
COM 92847W103
$7,261$7,261179,154 sh179,154 sh
NEW
CUBIC CORP
COM 229669106
$7,257$3,319124,759 sh42,762 sh
52%
TANDEM DIABETES CARE INC
COM NEW 875372203
$7,239$74563,779 sh-1,869 sh
-3%
TG THERAPEUTICS INC
COM 88322Q108
$7,193$7,193268,804 sh268,804 sh
NEW
Redfin Corp
COM 75737F108
$7,076-$1,840141,728 sh-71,006 sh
-33%
Installed Building Products, I
COM 45780R101
$6,993-$1,08168,725 sh-48,658 sh
-41%
HELEN OF TROY CORP LTD
COM G4388N106
$6,946-$2,02635,894 sh-11,689 sh
-25%
AZEK CO INC CL A
COMMON STOCK 05478C105
$6,943$159199,455 sh-13,473 sh
-6%
FABRINET
SHS G3323L100
$6,936-$20110,047 sh-1,388 sh
-1%
E L F BEAUTY INC
COM 26856L103
$6,921$6,921376,754 sh376,754 sh
NEW
EXPONENT INC
COM 30214U102
$6,913-$1,16395,975 sh-3,812 sh
-4%
SEMTECH CORP
COM 816850101
$6,882-$1,502129,955 sh-30,587 sh
-19%
Adaptive Biotechnologies Corpo
COM 00650F109
$6,874$1,261141,362 sh25,333 sh
22%
MARTEN TRANS LTD
COM 573075108
$6,873-$273421,133 sh137,118 sh
48%
SILICON LABORATORIES INC
COM 826919102
$6,852-$73170,029 sh-5,601 sh
-7%
EPIZYME INC
COM 29428V104
$6,851$1,145574,299 sh219,005 sh
62%
TEXAS ROADHOUSE INC
COM 882681109
$6,850$770112,685 sh-2,979 sh
-3%
SPROUTS FMRS MKT INC COM
COM 85208M102
$6,840$714326,790 sh87,401 sh
37%
ESCO TECHNOLOGIES INC
COM 296315104
$6,813$1,07384,576 sh16,668 sh
25%
REPLIGEN CORP
COM 759916109
$6,765$1,00645,850 sh-744 sh
-2%
VOCERA COMMUNICATIONS INC
COM 92857F107
$6,607$1,743227,204 sh-2,221 sh
-1%
FIVERR INTL LTD
ORD SHS M4R82T106
$6,561$1,12347,206 sh-26,455 sh
-36%
RAVEN INDS INC
COM 754212108
$6,558$1,248304,733 sh57,855 sh
23%
TECHTARGET INC
COM 87874R100
$6,387-$910145,287 sh-97,705 sh
-40%
SKYLINE CHAMPION CORPORATION
COM 830830105
$6,212$270232,053 sh-12,065 sh
-5%
NLIGHT INC
COM 65487K100
$6,128-$51260,974 sh-16,612 sh
-6%
ELASTIC N V
ORD SHS N14506104
$6,071$80156,273 sh-879 sh
-2%
CRYOPORT INC
COM PAR $0.001 229050307
$5,963$1,054125,800 sh-36,485 sh
-22%
HEALTHEQUITY INC
COM 42226A107
$5,665$820110,281 sh27,705 sh
34%
ALLOGENE THERAPEUTICS INC
COM 019770106
$5,590$5,590148,228 sh148,228 sh
NEW
INPHI CORP
COM 45772F107
$5,497$5,49748,969 sh48,969 sh
NEW
APPFOLIO INC
COM CL A 03783C100
$5,353$30137,750 sh6,701 sh
22%
LIVEPERSON INC
COM 538146101
$5,211$5,211100,240 sh100,240 sh
NEW
OLLIES BARGAIN OUTLT HLDGS I
COM 681116109
$5,194$35959,459 sh9,943 sh
20%
GUARDANT HEALTH INC
COM 40131M109
$5,077$1,33345,416 sh-733 sh
-2%
ONTRAK INC
COMMON 683373104
$4,902$4,90281,706 sh81,706 sh
NEW
VROOM INC
COM 92918V109
$4,873-$1,86294,110 sh-35,060 sh
-27%
Q2 Holdings, Inc.
COM 74736L109
$4,671$27351,182 sh-84 sh
0%
FRESHPET INC
COM 358039105
$4,565$1,08140,887 sh-753 sh
-2%
WINGSTOP INC
COM 974155103
$4,370-$11431,980 sh-289 sh
-1%
MIRATI THERAPEUTICS INC
COM 60468T105
$4,358-$3,60726,245 sh-43,521 sh
-62%
CERUS CORP
COM 157085101
$4,337-$298692,742 sh-9,467 sh
-1%
MYOVANT SCIENCES LTD
COM G637AM102
$4,254$4,254302,790 sh302,790 sh
NEW
BIOHAVEN PHARMACTL HLDG CO L
COM G11196105
$4,193-$58264,495 sh-813 sh
-1%
LGI Homes
COM 50187T106
$4,179-$3,01135,969 sh-45,703 sh
-56%
Everbridge, Inc.
COM 29978A104
$3,691-$47629,359 sh-755 sh
-3%
PTC THERAPEUTICS INC
COM 69366J200
$3,571-$2,38876,391 sh-41,057 sh
-35%
AVID BIOSERVICES INC
COM 05368M106
$3,483$3,483457,110 sh457,110 sh
NEW
GOHEALTH INC
Common Stock 38046W105
$3,410$3,410261,822 sh261,822 sh
NEW
Avalara Inc
COM 05338G106
$3,160-$20524,816 sh-466 sh
-2%
SCHRODINGER INC
COMMON STOCK 80810D103
$3,098-$1,88865,213 sh10,760 sh
20%
Pinterest, Inc.
COM 72352L106
$833$18420,063 sh-9,216 sh
-31%
Insulet Corp
COM 45784P101
$749-$3,1873,166 sh-17,097 sh
-84%
MongoDB, Inc.
COM 60937P106
$608$1232,625 sh484 sh
23%
MSCI INC.
com 55354G100
$558$641,564 sh83 sh
6%
CATALENT INC
COM 148806102
$557-$6,7436,499 sh-93,098 sh
-93%
ROKU INC CL A
COM 77543R102
$506$522,679 sh-1,214 sh
-31%
Chewy, Inc.
COM 16679L109
$478$938,713 sh93 sh
1%
Coupa Software Incorporated
COM 22266L106
$364$81,328 sh44 sh
3%
GOODRX HLDGS INC
COM CL A 38246G108
$331$3315,947 sh5,947 sh
NEW
OAK STREET HEALTH
COM 67181A107
$296$2965,538 sh5,538 sh
NEW
CREE INC
COM 225447101
$284$2844,459 sh4,459 sh
NEW
WOODWARD INC
COM 980745103
$0-$8,7480 sh-112,808 sh
-100%
MOBILE MINI INC
COM 60740F105
$0-$8,1690 sh-276,928 sh
-100%
ORASURE TECHNOLOGIES INC
COM 68554V108
$0-$7,5320 sh-647,632 sh
-100%
MOELIS & CO.
COM 60786M105
$0-$6,7920 sh-217,984 sh
-100%
CHEGG INC
COM 163092109
$0-$6,3200 sh-93,958 sh
-100%
BOSTON BEER INC
CL A 100557107
$0-$6,0750 sh-11,320 sh
-100%
LIVONGO HEALTH INC
COM 539183103
$0-$6,0410 sh-80,338 sh
-100%
BELLRING BRANDS INC
COM CL A 079823100
$0-$6,0220 sh-302,015 sh
-100%
GLOBANT S A
COM L44385109
$0-$5,8820 sh-39,252 sh
-100%
TABULA RASA HEALTHCARE INC
COM 873379101
$0-$4,8530 sh-88,680 sh
-100%
IMPINJ INC
COM 453204109
$0-$4,8050 sh-174,921 sh
-100%
LIGAND PHARMA
COM 53220K504
$0-$4,4720 sh-39,984 sh
-100%
LINDBLAD EXPEDITIONS HLDGS I
COM 535219109
$0-$4,0540 sh-525,152 sh
-100%
GROCERY OUTLET HLDG CORP
COM 39874R101
$0-$3,7190 sh-91,142 sh
-100%
REGENXBIO INC COM
COM 75901B107
$0-$3,4780 sh-94,433 sh
-100%
PAPA JOHNS INTL INC
COM 698813102
$0-$3,1610 sh-39,800 sh
-100%
SPOTIFY TECHNOLOGY S A
SHS L8681T102
$0-$5570 sh-2,158 sh
-100%
SLACK TECHNOLOGIES INC
COM CL A 83088V102
$0-$4640 sh-14,909 sh
-100%
Twilio Inc Cl A
COM 90138F102
$0-$4380 sh-1,996 sh
-100%
EDWARDS LIFESCIENCES CORP
COM 28176E108
$0-$2780 sh-4,025 sh
-100%