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Pier Capital, LLC 13F filings

Manager(s): Alexander Yakirevich

Holdings as of 2022-06-30

Filed on 2022-08-15 under CIK 1310051

Company
Investment Type
Change
Value (x$1000)
increase or decrease
FORMFACTOR INC
333,466 sh
-3,216 sh
-1%
$12,915
-$1,236
INTER PARFUMS INC
168,145 sh
642 sh
0%
$12,285
-$2,464
FTI CONSULTING INC
62,855 sh
62,743 sh
56021%
$11,367
$11,349
WNS HOLDINGS LTD SPON ADR
147,939 sh
557 sh
0%
$11,042
-$1,558
HEXCEL CORP NEW
198,438 sh
836 sh
0%
$10,380
-$1,371
MSA SAFETY INC
84,640 sh
-762 sh
-1%
$10,247
-$1,086
MAXIMUS INC
161,789 sh
-9,338 sh
-5%
$10,113
-$2,713
LINDSAY CORP
73,007 sh
44,322 sh
155%
$9,697
$5,193
FABRINET
115,552 sh
281 sh
0%
$9,371
-$2,747
PAPA JOHNS INTL INC
111,121 sh
406 sh
0%
$9,281
-$2,375
CERUS CORP
1,731,379 sh
-1,382 sh
0%
$9,159
-$354
Omnicell, Inc.
77,662 sh
183 sh
0%
$8,834
-$1,199
CHART INDUSTRIES
52,235 sh
-21,682 sh
-29%
$8,743
-$3,954
HOULIHAN LOKEY INC
110,014 sh
390 sh
0%
$8,683
-$942
AXCELIS TECHNOLOGIES INC
157,923 sh
-41,530 sh
-21%
$8,660
-$6,405
OLLIES BARGAIN OUTLT HLDGS I
146,221 sh
41,823 sh
40%
$8,590
$4,105
Air Transport Services Grp
295,546 sh
-130,899 sh
-31%
$8,491
-$5,774
ALLOGENE THERAPEUTICS INC COM
740,556 sh
-6,113 sh
-1%
$8,442
$1,640
BLACKLINE INC
121,594 sh
-84 sh
0%
$8,098
-$811
WILLSCOT CORP
249,766 sh
-1,906 sh
-1%
$8,097
-$1,751
HEALTHEQUITY INC
131,568 sh
-38,325 sh
-23%
$8,077
-$3,381
DOUBLEVERIFY HOLDINGS ORD
352,319 sh
-146 sh
0%
$7,987
-$885
GROCERY OUTLET HLDG CORP
184,677 sh
184,677 sh
NEW
$7,873
$7,873
Glacier Bancorp, Inc. COM
165,434 sh
-130 sh
0%
$7,845
-$480
SEACOAST BKG CORP FLA COM NEW
234,822 sh
946 sh
0%
$7,759
-$431
ITRON INC
156,931 sh
-361 sh
0%
$7,757
-$529
EXPENSIFY INC
434,907 sh
677 sh
0%
$7,737
$112
JFROG LTD
365,721 sh
-75 sh
0%
$7,706
-$2,152
E L F BEAUTY INC
249,475 sh
-111,888 sh
-31%
$7,654
-$1,680
FOX FACTORY HOLDING
94,377 sh
-98 sh
0%
$7,601
-$1,653
FIRST MERCHANTS CORP COM
208,298 sh
1,007 sh
0%
$7,420
-$1,203
ALLEGRO MICROSYSTEMS ORD
356,973 sh
1,677 sh
0%
$7,386
-$2,704
EVENTBRITE INC
716,997 sh
138,633 sh
24%
$7,364
-$1,178
WINGSTOP INC
98,091 sh
29,285 sh
43%
$7,334
-$740
TECHTARGET INC
111,263 sh
430 sh
0%
$7,312
-$1,697
TENABLE HLDGS INC
160,412 sh
522 sh
0%
$7,284
-$1,956
RADNET INC
417,178 sh
1,919 sh
0%
$7,209
-$2,080
JAMF HLDG CORP
285,751 sh
1,292 sh
0%
$7,078
-$2,824
PAGERDUTY INC
285,292 sh
816 sh
0%
$7,070
-$2,656
SKYLINE CHAMPION CORPORATION
148,979 sh
510 sh
0%
$7,065
-$1,083
ONTO INNOVATION INC
98,672 sh
140 sh
0%
$6,881
-$1,680
INARI MEDICAL INC
99,070 sh
406 sh
0%
$6,736
-$2,207
OPTION CARE HEALTH INC
240,805 sh
80,680 sh
50%
$6,692
$2,119
LATTICE SEMICONDUCTOR CORP
137,353 sh
177 sh
0%
$6,662
-$1,699
INTRA CELLULAR THERAPIES INC COM
116,646 sh
116,646 sh
NEW
$6,658
$6,658
EXPONENT INC
72,758 sh
-25,922 sh
-26%
$6,655
-$4,007
SILICON LABORATORIES INC
46,953 sh
46,953 sh
NEW
$6,584
$6,584
TEXAS ROADHOUSE INC
88,938 sh
88,938 sh
NEW
$6,510
$6,510
MAXCYTE INC
1,365,423 sh
347,670 sh
34%
$6,458
-$656
SHAKE SHACK INC
162,344 sh
1,424 sh
1%
$6,409
-$4,517
MAGNITE INC
721,036 sh
1,843 sh
0%
$6,403
-$3,098
ATLAS AIR WORLDWIDE HLDGS IN
102,542 sh
140 sh
0%
$6,328
-$2,516
SHIFT4 PMTS INC
189,949 sh
-63,026 sh
-25%
$6,280
-$9,387
FIVE9 INC
68,016 sh
68,016 sh
NEW
$6,199
$6,199
KNOWBE4INC
381,326 sh
381,326 sh
NEW
$5,956
$5,956
APELLIS PHARMACEUTICALS INC COM
130,340 sh
132 sh
0%
$5,894
-$722
REPLIGEN CORP
36,195 sh
6,425 sh
22%
$5,878
$279
PROGYNY INC
200,849 sh
888 sh
0%
$5,835
-$4,443
FRESHPET INC
112,343 sh
954 sh
1%
$5,829
-$5,604
Surgery Partners Inc
192,973 sh
1,645 sh
1%
$5,581
-$4,952
MISTER CAR WASH INC
512,478 sh
221,323 sh
76%
$5,576
$1,270
MONTROSE ENVIRONMENTAL GROUP
163,594 sh
411 sh
0%
$5,523
-$3,114
Alteryx, Inc.
114,018 sh
114,018 sh
NEW
$5,521
$5,521
SEMTECH CORP
97,822 sh
-874 sh
-1%
$5,377
-$1,467
BROOKS AUTOMATION INC
72,129 sh
-632 sh
-1%
$5,201
-$829
POWER INTEGRATIONS INC
66,319 sh
-38,493 sh
-37%
$4,975
-$4,739
CROCS INC
98,976 sh
-404 sh
0%
$4,817
-$2,776
IMMUNOCORE HOLDINGS PLC-ADR (IMCR US) ADS
123,394 sh
-113,222 sh
-48%
$4,604
-$2,471
CODEXIS INC
434,543 sh
103 sh
0%
$4,545
-$4,413
Saia, Inc.
23,623 sh
-11,474 sh
-33%
$4,441
-$4,116
SPROUT SOCIAL INC
72,779 sh
-132 sh
0%
$4,226
-$1,616
ALPHATEC HLDGS INC
619,259 sh
1,447 sh
0%
$4,050
-$3,055
ANAVEX LIFE SCIENCES CORP COM NEW
384,179 sh
-104,515 sh
-21%
$3,846
-$2,170
BIOLIFE SOLUTIONS INC
275,789 sh
58,381 sh
27%
$3,809
-$1,133
KORNIT DIGITAL LTD SHS
112,408 sh
38,569 sh
52%
$3,563
-$2,543
BLOOM ENERGY CORP
212,250 sh
-175,333 sh
-45%
$3,502
-$5,858
SEER INC
381,537 sh
-600 sh
0%
$3,415
-$2,409
FLUENCE ENERGY INC
349,213 sh
-331,492 sh
-49%
$3,311
-$5,613
IVERIC BIO INC COM
342,887 sh
-213,954 sh
-38%
$3,299
-$6,073
ALX ONCOLOGY HLDGS INC COM Stock
397,745 sh
3,302 sh
1%
$3,218
-$3,448
LINDBLAD EXPEDITIONS HLDGS I COM
388,973 sh
55,160 sh
17%
$3,151
-$1,883
ENDAVA PLC ADS
35,115 sh
-37,600 sh
-52%
$3,100
-$6,573
AVID BIOSERVICES INC COM
200,203 sh
-365 sh
0%
$3,055
-$1,031
LATHAM GROUP INC
407,773 sh
47,891 sh
13%
$2,826
-$1,939
ALECTOR INC
275,629 sh
-2,989 sh
-1%
$2,800
-$1,170
Adaptive Biotechnologies Corpo
338,789 sh
-752 sh
0%
$2,741
-$1,972
CRYOPORT INC
87,587 sh
-1,040 sh
-1%
$2,713
-$381
Cardlytics Inc.
120,091 sh
-31,716 sh
-21%
$2,679
-$5,667
Insulet Corp
5,133 sh
328 sh
7%
$1,119
-$161
MARAVAI LIFESCIENCES HOLDINGS INC
31,626 sh
12,244 sh
63%
$898
$214
SOLAREDGE TECHNOLOGIES INC
2,804 sh
87 sh
3%
$767
-$109
ELASTIC N V
10,901 sh
692 sh
7%
$738
-$170
Avalara Inc
9,225 sh
418 sh
5%
$651
-$225
CATALENT INC
5,482 sh
5,458 sh
22742%
$588
$585
WOLFSPEED INC COM
9,140 sh
-4,478 sh
-33%
$580
-$971
CRISPR THERAPEUTICS AG NAMEN AKT
7,960 sh
-2,950 sh
-27%
$484
-$201
DECKERS OUTDOOR CORP
1,722 sh
-713 sh
-29%
$440
-$227
Pinterest, Inc.
20,377 sh
-12,595 sh
-38%
$370
-$441
Coupa Software Incorporated
5,352 sh
191 sh
4%
$306
-$219
AZEK CO INC CL A
590 sh
-272,680 sh
-100%
$10
-$6,778
BWX TECHNOLOGIES INC
183 sh
 
$10
UPWORK INC
485 sh
 
$10
AMERICAN EAGLE OUTFITTERS IN
844 sh
-484,595 sh
-100%
$9
-$8,146
II VI INC
75 sh
 
$4
DUTCH BROS INC CL A ADDED
0 sh
-196,938 sh
-100%
$0
-$10,885
WORKIVA INC
0 sh
-88,507 sh
-100%
$0
-$10,444
LHC Group
0 sh
-51,842 sh
-100%
$0
-$8,741
BANDWIDTH INC
0 sh
-257,600 sh
-100%
$0
-$8,344
VAPOTHERM INC
0 sh
-588,595 sh
-100%
$0
-$8,181
SILVERGATE CAP CORP CL A
0 sh
-45,414 sh
-100%
$0
-$6,838
BIOHAVEN PHARMACTL HLDG CO L
0 sh
-36,491 sh
-100%
$0
-$4,327
MYOVANT SCIENCES LTD COM
0 sh
-294,954 sh
-100%
$0
-$3,929