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Pier Capital, LLC 13F filings

Manager(s): Alexander Yakirevich

Holdings as of 2021-09-30

Filed on 2021-11-10 under CIK 1310051

Company
Investment Type
Change
Value (x$1000)
increase or decrease
E L F BEAUTY INC
565,579 sh
107,679 sh
24%
$16,430
$4,003
FORMFACTOR INC
407,254 sh
28,406 sh
7%
$15,203
$1,390
HOULIHAN LOKEY INC
160,211 sh
-3,327 sh
-2%
$14,755
$1,379
BROOKS AUTOMATION INC
136,512 sh
13,666 sh
11%
$13,972
$2,267
SEACOAST BKG CORP FLA COM NEW
411,303 sh
139,346 sh
51%
$13,906
$4,619
KORNIT DIGITAL LTD SHS
95,141 sh
1,261 sh
1%
$13,771
$2,099
Glacier Bancorp, Inc. COM
243,740 sh
64,332 sh
36%
$13,491
$3,609
EXPONENT INC
116,681 sh
-2,480 sh
-2%
$13,202
$2,572
SEER INC
381,538 sh
62,574 sh
20%
$13,175
$2,719
WILLSCOT CORP
414,349 sh
-8,932 sh
-2%
$13,143
$1,346
INTER PARFUMS INC
168,599 sh
-2,494 sh
-1%
$12,606
$287
SKYLINE CHAMPION CORPORATION
208,373 sh
-5,479 sh
-3%
$12,515
$1,117
MSA SAFETY INC
85,742 sh
23,222 sh
37%
$12,493
$2,141
SEMTECH CORP
159,374 sh
-3,089 sh
-2%
$12,426
$1,249
POWER INTEGRATIONS INC
124,936 sh
-2,368 sh
-2%
$12,367
$1,920
MONTROSE ENVIRONMENTAL GROUP
199,505 sh
-4,325 sh
-2%
$12,317
$1,379
AXCELIS TECHNOLOGIES INC
259,458 sh
1,174 sh
0%
$12,202
$1,762
JAMF HLDG CORP
316,302 sh
-5,551 sh
-2%
$12,184
$1,379
LINDBLAD EXPEDITIONS HLDGS I COM
832,719 sh
174,051 sh
26%
$12,149
$1,604
ENDAVA PLC ADS
89,327 sh
-3,468 sh
-4%
$12,135
$1,614
MARTEN TRANS LTD
772,839 sh
63,911 sh
9%
$12,126
$436
BIOHAVEN PHARMACTL HLDG CO L
87,213 sh
-26,705 sh
-23%
$12,115
$1,056
WNS HOLDINGS LTD SPON ADR
148,094 sh
-1,169 sh
-1%
$12,114
$192
UPWORK INC
268,789 sh
74,863 sh
39%
$12,104
$800
ITRON INC
159,837 sh
38,996 sh
32%
$12,088
$6
TELOS CORP MD
423,080 sh
44,689 sh
12%
$12,024
-$845
LATTICE SEMICONDUCTOR CORP
184,870 sh
-40,166 sh
-18%
$11,952
-$691
PAGERDUTY INC
288,284 sh
-67,523 sh
-19%
$11,941
-$3,209
FABRINET
116,178 sh
-24,375 sh
-17%
$11,909
-$1,566
BLACKLINE INC
100,551 sh
-420 sh
0%
$11,871
$636
EVENTBRITE INC
620,080 sh
-10,975 sh
-2%
$11,726
-$264
AMERICAN EAGLE OUTFITTERS IN
453,061 sh
139,025 sh
44%
$11,689
-$97
CROCS INC
80,722 sh
-31,320 sh
-28%
$11,582
-$1,473
ALLOGENE THERAPEUTICS INC
450,182 sh
171,354 sh
61%
$11,570
$4,298
MOELIS & CO.
186,981 sh
-2,846 sh
-1%
$11,569
$770
FRESHPET INC
80,043 sh
20,393 sh
34%
$11,421
$1,700
WINGSTOP INC
69,420 sh
-13,903 sh
-17%
$11,380
-$1,754
CHART INDUSTRIES
58,963 sh
-8,843 sh
-13%
$11,268
$1,347
TENABLE HLDGS INC
241,305 sh
-4,035 sh
-2%
$11,134
$989
SILICON LABORATORIES INC
78,857 sh
-1,344 sh
-2%
$11,053
-$1,238
Air Transport Services Grp
426,001 sh
18,009 sh
4%
$10,995
$1,517
PAPA JOHNS INTL INC
86,396 sh
-57,690 sh
-40%
$10,971
-$4,077
SILVERGATE CAP CORP CL A
93,827 sh
17,770 sh
23%
$10,837
$2,218
MIRATI THERAPEUTICS INC
61,065 sh
-2,186 sh
-3%
$10,803
$586
MAXIMUS INC
129,267 sh
-3,325 sh
-3%
$10,755
-$909
CODEXIS INC
458,311 sh
-179,787 sh
-28%
$10,660
-$3,799
CERUS CORP
1,735,841 sh
-41,120 sh
-2%
$10,571
$69
LIVEPERSON INC
178,539 sh
-3,950 sh
-2%
$10,525
-$1,016
Cardlytics Inc.
123,361 sh
35,473 sh
40%
$10,355
-$801
LHC Group
65,696 sh
11,116 sh
20%
$10,308
-$622
POSHMARK INC COM CL A
429,138 sh
257,837 sh
151%
$10,196
$2,018
MERITOR INC
478,113 sh
755 sh
0%
$10,189
-$991
SHAKE SHACK INC
128,760 sh
-4,918 sh
-4%
$10,103
-$4,203
FOX FACTORY HOLDING
68,436 sh
13,004 sh
23%
$9,892
$1,263
WORKIVA INC
68,711 sh
-1,629 sh
-2%
$9,686
$1,855
MAGNITE INC
343,264 sh
-10,580 sh
-3%
$9,611
-$2,363
YEXT INC
796,861 sh
92,209 sh
13%
$9,586
-$483
Evercore Inc.
69,714 sh
-715 sh
-1%
$9,319
-$595
RADNET INC
317,745 sh
-7,750 sh
-2%
$9,313
-$1,653
PROS Holdings Inc
252,965 sh
-8,232 sh
-3%
$8,975
-$2,928
AZEK CO INC CL A
240,726 sh
-4,847 sh
-2%
$8,794
-$1,633
SPROUT SOCIAL INC
71,743 sh
-65,662 sh
-48%
$8,749
-$3,538
REPLIGEN CORP
29,876 sh
4,644 sh
18%
$8,634
$3,597
SITEONE LANDSCAPE SUPPLY
42,761 sh
-594 sh
-1%
$8,530
$1,192
BANDWIDTH INC
93,281 sh
241 sh
0%
$8,421
-$4,411
Saia, Inc.
35,156 sh
-13,273 sh
-27%
$8,368
-$1,777
Everbridge, Inc.
55,019 sh
-40,632 sh
-42%
$8,310
-$4,706
INARI MEDICAL INC
99,434 sh
22,726 sh
30%
$8,064
$909
OLLIES BARGAIN OUTLT HLDGS I
132,558 sh
41,931 sh
46%
$7,991
$367
LATHAM GROUP INC
485,886 sh
485,886 sh
NEW
$7,969
$7,969
AVID BIOSERVICES INC
361,287 sh
-112,992 sh
-24%
$7,793
-$4,372
Omnicell, Inc.
52,042 sh
-684 sh
-1%
$7,725
-$260
ALLEGRO MICROSYSTEMS ORD
233,320 sh
-158,654 sh
-40%
$7,457
-$3,401
HEXCEL CORP NEW
122,270 sh
-58,163 sh
-32%
$7,262
-$3,997
TANDEM DIABETES CARE INC
60,422 sh
-1,191 sh
-2%
$7,213
$1,212
HEALTHEQUITY INC
111,281 sh
-12,473 sh
-10%
$7,207
-$2,753
TECHTARGET INC
86,087 sh
-39,672 sh
-32%
$7,095
-$2,650
ALECTOR INC
306,536 sh
-30,378 sh
-9%
$6,995
-$23
PROGYNY INC
123,769 sh
-17,999 sh
-13%
$6,931
-$1,433
Adaptive Biotechnologies Corpo
197,492 sh
-2,205 sh
-1%
$6,713
-$1,447
MYOVANT SCIENCES LTD COM
292,976 sh
-7,640 sh
-3%
$6,574
-$271
NLIGHT INC
225,958 sh
-117,571 sh
-34%
$6,370
-$6,093
SCHRODINGER INC
114,489 sh
28,317 sh
33%
$6,260
-$255
DOUBLEVERIFY HOLDINGS ORD
182,292 sh
40,518 sh
29%
$6,227
$224
BIOLIFE SOLUTIONS INC
142,876 sh
-2,269 sh
-2%
$6,047
-$413
MAXCYTE INC
488,673 sh
488,673 sh
NEW
$5,967
$5,967
BLEND LABS INC
436,789 sh
436,789 sh
NEW
$5,888
$5,888
PERSONALIS INC
302,786 sh
-7,830 sh
-3%
$5,826
-$2,033
CRYOPORT INC
87,404 sh
-102,942 sh
-54%
$5,813
-$6,198
ALX ONCOLOGY HLDGS INC COM
75,362 sh
75,362 sh
NEW
$5,566
$5,566
APELLIS PHARMACEUTICALS INC
156,031 sh
156,031 sh
NEW
$5,143
$5,143
LGI Homes
35,878 sh
5,466 sh
18%
$5,091
$166
ANAVEX LIFE SCIENCES CORP
276,183 sh
276,183 sh
NEW
$4,957
$4,957
ALPHATEC HLDGS INC
399,625 sh
-273,151 sh
-41%
$4,871
-$5,436
Installed Building Products, I
45,004 sh
-45,860 sh
-50%
$4,822
-$6,296
REVANCE THERAPEUTICS INC
165,913 sh
-4,403 sh
-3%
$4,622
-$426
VAPOTHERM INC
185,300 sh
185,300 sh
NEW
$4,127
$4,127
IMMUNOCORE HOLDINGS PLC-ADR (IMCR US) ADS
78,514 sh
78,514 sh
NEW
$2,911
$2,911
Insulet Corp
3,674 sh
-1,452 sh
-28%
$1,044
-$363
MSCI INC.
1,625 sh
776 sh
91%
$989
$536
ELASTIC N V
6,307 sh
1,560 sh
33%
$940
$248
WOLFSPEED INC COM Stock
10,403 sh
10,403 sh
NEW
$840
$840
SOLAREDGE TECHNOLOGIES INC
3,148 sh
309 sh
11%
$835
$50
Avalara Inc
4,530 sh
-40 sh
-1%
$792
$53
Coupa Software Incorporated
3,547 sh
-47 sh
-1%
$777
-$165
WIX COM LTD SHS
3,950 sh
1,179 sh
43%
$774
-$30
CRISPR THERAPEUTICS AG NAMEN AKT
6,435 sh
61 sh
1%
$720
-$312
Pinterest, Inc.
12,457 sh
1,739 sh
16%
$635
-$211
ACUTUS MEDICAL
49,371 sh
-377,678 sh
-88%
$436
-$6,815
FTI CONSULTING INC
178 sh
21 sh
13%
$24
$3
MongoDB, Inc.
24 sh
 
$11
MERCURY SYS INC
208 sh
 
$10
CATALENT INC
57 sh
 
$8
Lyft Inc
150 sh
 
$8
II VI INC
102 sh
24 sh
31%
$6
Ansys Inc.
15 sh
 
$5
OAK STREET HEALTH
93 sh
 
$4
APPIAN CORP
27 sh
 
$2
TG THERAPEUTICS INC
0 sh
-280,486 sh
-100%
$0
-$10,880
RAVEN INDS INC COM
0 sh
-183,865 sh
-100%
$0
-$10,637
FIVE9 INC
0 sh
-53,376 sh
-100%
$0
-$9,789
VITAL FARMS INC
0 sh
-336,967 sh
-100%
$0
-$6,726
CREE INC
0 sh
-6,950 sh
-100%
$0
-$681
LIFESTANCE HEALTH GROUP INC.
0 sh
-17,984 sh
-100%
$0
-$501