Try Alerts Free   |   Login

Pier Capital, LLC 13F filings

Manager(s): Alexander Yakirevich

Holdings as of 2021-06-30

Filed on 2021-08-12 under CIK 1310051

Company
Investment Type
Change
Value (x$1000)
increase or decrease
PAGERDUTY INC
355,807 sh
94,560 sh
36%
$15,150
$4,640
PAPA JOHNS INTL INC
144,086 sh
-19,537 sh
-12%
$15,048
$544
CODEXIS INC
638,098 sh
270,075 sh
73%
$14,459
$6,035
SHAKE SHACK INC
133,678 sh
28,764 sh
27%
$14,306
$2,475
FORMFACTOR INC
378,848 sh
102,181 sh
37%
$13,813
$1,333
FABRINET SHS
140,553 sh
-18,998 sh
-12%
$13,475
-$947
HOULIHAN LOKEY INC
163,538 sh
-22,302 sh
-12%
$13,376
$1,016
WINGSTOP INC
83,323 sh
-11,506 sh
-12%
$13,134
$1,075
CROCS INC
112,042 sh
-54,939 sh
-33%
$13,055
-$379
Everbridge, Inc.
95,651 sh
95,651 sh
NEW
$13,016
$13,016
TELOS CORP MD COM
378,391 sh
20,021 sh
6%
$12,869
-$720
BANDWIDTH INC
93,040 sh
-13,320 sh
-13%
$12,832
-$648
LATTICE SEMICONDUCTOR CORP
225,036 sh
-30,535 sh
-12%
$12,643
$1,137
NLIGHT INC
343,529 sh
-45,239 sh
-12%
$12,463
-$133
E L F BEAUTY INC
457,900 sh
-62,436 sh
-12%
$12,427
-$1,534
INTER PARFUMS INC
171,093 sh
-22,700 sh
-12%
$12,319
-$1,427
SILICON LABORATORIES INC
80,201 sh
-10,868 sh
-12%
$12,291
-$556
SPROUT SOCIAL INC
137,405 sh
26,281 sh
24%
$12,287
$5,868
AVID BIOSERVICES INC
474,279 sh
-119,658 sh
-20%
$12,165
$1,338
ITRON INC
120,841 sh
-15,559 sh
-11%
$12,082
-$10
CRYOPORT INC
190,346 sh
-25,923 sh
-12%
$12,011
$763
EVENTBRITE INC
631,055 sh
-85,819 sh
-12%
$11,990
-$3,896
MAGNITE INC
353,844 sh
85,554 sh
32%
$11,974
$810
WNS HOLDINGS LTD SPON ADR
149,263 sh
-20,127 sh
-12%
$11,922
-$349
PROS Holdings Inc
261,197 sh
27,035 sh
12%
$11,903
$1,951
WILLSCOT CORP
423,281 sh
-58,619 sh
-12%
$11,797
-$1,576
AMERICAN EAGLE OUTFITTERS IN
314,036 sh
-143,385 sh
-31%
$11,786
-$1,589
BROOKS AUTOMATION INC
122,846 sh
-59,272 sh
-33%
$11,705
-$3,165
MARTEN TRANS LTD
708,928 sh
-93,487 sh
-12%
$11,690
-$1,927
KORNIT DIGITAL LTD SHS
93,880 sh
-33,153 sh
-26%
$11,672
-$920
MAXIMUS INC
132,592 sh
-16,335 sh
-11%
$11,664
-$1,596
LIVEPERSON INC
182,489 sh
-24,312 sh
-12%
$11,541
$634
SKYLINE CHAMPION CORPORATION
213,852 sh
-104,143 sh
-33%
$11,398
-$2,994
UPWORK INC
193,926 sh
-27,312 sh
-12%
$11,304
$1,399
HEXCEL CORP NEW
180,433 sh
-24,809 sh
-12%
$11,259
-$235
BLACKLINE INC
100,971 sh
-13,421 sh
-12%
$11,235
-$1,165
MERITOR INC
477,358 sh
102,052 sh
27%
$11,180
$138
SEMTECH CORP
162,463 sh
-20,629 sh
-11%
$11,177
-$1,456
Cardlytics Inc.
87,888 sh
-6,670 sh
-7%
$11,156
$783
Installed Building Products, I
90,864 sh
-12,415 sh
-12%
$11,118
-$334
BIOHAVEN PHARMACTL HLDG CO L COM
113,918 sh
-49,016 sh
-30%
$11,059
-$78
RADNET INC
325,495 sh
325,495 sh
NEW
$10,966
$10,966
MONTROSE ENVIRONMENTAL GROUP COM
203,830 sh
-77,472 sh
-28%
$10,938
-$3,181
LHC Group
54,580 sh
-7,296 sh
-12%
$10,930
-$901
TG THERAPEUTICS INC
280,486 sh
27,215 sh
11%
$10,880
-$1,328
ALLEGRO MICROSYSTEMS ORD COMMON STOCK
391,974 sh
-53,104 sh
-12%
$10,858
-$425
JAMF HLDG CORP COM
321,853 sh
321,853 sh
NEW
$10,805
$10,805
MOELIS & CO.
189,827 sh
-26,465 sh
-12%
$10,799
-$1,071
RAVEN INDS INC
183,865 sh
30,468 sh
20%
$10,637
$4,757
EXPONENT INC
119,161 sh
-15,860 sh
-12%
$10,630
-$2,528
LINDBLAD EXPEDITIONS HLDGS I
658,668 sh
360,682 sh
121%
$10,545
$4,913
ENDAVA PLC ADS
92,795 sh
-44,071 sh
-32%
$10,521
-$1,070
CERUS CORP
1,776,961 sh
657,022 sh
59%
$10,502
$3,771
SEER INC COM
318,964 sh
97,646 sh
44%
$10,456
-$614
POWER INTEGRATIONS INC
127,304 sh
-16,535 sh
-11%
$10,447
-$1,273
AXCELIS TECHNOLOGIES INC
258,284 sh
-55,700 sh
-18%
$10,440
-$2,462
AZEK CO INC CL A COMMON STOCK
245,573 sh
-32,504 sh
-12%
$10,427
-$1,266
MSA SAFETY INC
62,520 sh
-8,131 sh
-12%
$10,352
-$247
ALPHATEC HLDGS INC
672,776 sh
-90,283 sh
-12%
$10,307
-$1,742
MIRATI THERAPEUTICS INC
63,251 sh
19,033 sh
43%
$10,217
$2,642
Saia, Inc.
48,429 sh
-12,806 sh
-21%
$10,145
-$3,975
TENABLE HLDGS INC
245,340 sh
-34,669 sh
-12%
$10,145
$13
YEXT INC
704,652 sh
313,313 sh
80%
$10,069
$4,402
HEALTHEQUITY INC
123,754 sh
-17,293 sh
-12%
$9,960
$369
CHART INDUSTRIES
67,806 sh
-9,331 sh
-12%
$9,921
-$1,059
Evercore Inc.
70,429 sh
-30,060 sh
-30%
$9,914
-$3,324
Glacier Bancorp, Inc. COM
179,408 sh
-23,809 sh
-12%
$9,882
-$1,718
FIVE9 INC
53,376 sh
-7,288 sh
-12%
$9,789
$305
TECHTARGET INC
125,759 sh
-16,765 sh
-12%
$9,745
-$153
FRESHPET INC
59,650 sh
-30,849 sh
-34%
$9,721
-$4,651
Air Transport Services Grp
407,992 sh
37,634 sh
10%
$9,478
-$1,359
SEACOAST BKG CORP FLA COM NEW
271,957 sh
-94,592 sh
-26%
$9,287
-$3,997
FOX FACTORY HOLDING
55,432 sh
-7,992 sh
-13%
$8,629
$570
SILVERGATE CAP CORP CL A
76,057 sh
34,409 sh
83%
$8,619
$2,698
PROGYNY INC
141,768 sh
-119,000 sh
-46%
$8,364
-$3,243
POSHMARK INC COM CL A Stock
171,301 sh
171,301 sh
NEW
$8,178
$8,178
Adaptive Biotechnologies Corpo
199,697 sh
42,736 sh
27%
$8,160
$1,841
Omnicell, Inc.
52,726 sh
-33,103 sh
-39%
$7,985
-$3,162
PERSONALIS INC
310,616 sh
5,357 sh
2%
$7,859
$347
WORKIVA INC
70,340 sh
-10,027 sh
-12%
$7,831
$738
OLLIES BARGAIN OUTLT HLDGS I
90,627 sh
18,891 sh
26%
$7,624
$1,383
SITEONE LANDSCAPE SUPPLY
43,355 sh
-5,833 sh
-12%
$7,338
-$1,060
ALLOGENE THERAPEUTICS INC
278,828 sh
5,182 sh
2%
$7,272
-$2,388
ACUTUS MEDICAL COM
427,049 sh
-55,434 sh
-11%
$7,251
$800
INARI MEDICAL INC COM
76,708 sh
25,802 sh
51%
$7,155
$1,708
ALECTOR INC
336,914 sh
-168,489 sh
-33%
$7,018
-$3,161
MYOVANT SCIENCES LTD COM
300,616 sh
-254,163 sh
-46%
$6,845
-$4,572
VITAL FARMS INC COM
336,967 sh
91,577 sh
37%
$6,726
$1,367
SCHRODINGER INC
86,172 sh
-11,943 sh
-12%
$6,515
-$970
BIOLIFE SOLUTIONS INC
145,145 sh
-17,703 sh
-11%
$6,460
$597
DOUBLEVERIFY HOLDINGS ORD COM
141,774 sh
141,774 sh
NEW
$6,003
$6,003
TANDEM DIABETES CARE INC
61,613 sh
-9,417 sh
-13%
$6,001
-$267
REVANCE THERAPEUTICS INC
170,316 sh
170,316 sh
NEW
$5,048
$5,048
REPLIGEN CORP
25,232 sh
-25,424 sh
-50%
$5,037
-$4,811
LGI Homes
30,412 sh
-25,921 sh
-46%
$4,925
-$3,486
Insulet Corp
5,126 sh
1,852 sh
57%
$1,407
$553
CRISPR THERAPEUTICS AG NAMEN AKT
6,374 sh
6,374 sh
NEW
$1,032
$1,032
Coupa Software Incorporated
3,594 sh
1,402 sh
64%
$942
$384
Pinterest, Inc.
10,718 sh
-5,273 sh
-33%
$846
-$338
WIX COM LTD SHS
2,771 sh
-450 sh
-14%
$804
-$95
SOLAREDGE TECHNOLOGIES INC
2,839 sh
-90 sh
-3%
$785
-$57
Avalara Inc
4,570 sh
1,522 sh
50%
$739
$332
ELASTIC N V ORD SHS
4,747 sh
-150 sh
-3%
$692
$147
CREE INC
6,950 sh
-17 sh
0%
$681
-$72
LIFESTANCE HEALTH GROUP INC. COM
17,984 sh
17,984 sh
NEW
$501
$501
MSCI INC.
849 sh
-1,377 sh
-62%
$453
-$480
FTI CONSULTING INC
157 sh
 
$21
MERCURY SYS INC
208 sh
 
$14
MongoDB, Inc.
24 sh
-1,350 sh
-98%
$9
-$358
Lyft Inc
150 sh
 
$9
CATALENT INC
57 sh
-3,632 sh
-98%
$6
-$382
II VI INC
78 sh
 
$6
OAK STREET HEALTH COM
93 sh
-6,924 sh
-99%
$5
-$376
Ansys Inc.
15 sh
 
$5
APPIAN CORP
27 sh
 
$4
METHODE ELECTRS INC
0 sh
-303,215 sh
-100%
$0
-$12,729
Redfin Corp
0 sh
-190,468 sh
-100%
$0
-$12,683
DIODES INC
0 sh
-154,534 sh
-100%
$0
-$12,338
INTELLIGENT SYS CORP NEW
0 sh
-293,889 sh
-100%
$0
-$12,023
Q2 Holdings, Inc.
0 sh
-92,388 sh
-100%
$0
-$9,257
PURPLE INNOVATION INC
0 sh
-252,832 sh
-100%
$0
-$8,002
EMERGENT BIOSOLUTN INC COM
0 sh
-64,274 sh
-100%
$0
-$5,972
VROOM INC COM
0 sh
-153,176 sh
-100%
$0
-$5,972
SmileDirectClub Inc
0 sh
-521,998 sh
-100%
$0
-$5,382