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Pier Capital, LLC 13F filings

Manager(s): Alexander Yakirevich

Holdings as of 2020-12-31

Filed on 2021-02-16 under CIK 1310051

Company
Investment Type
Change
Value (x$1000)
increase or decrease
Evercore Inc.
138,090 sh
-27,757 sh
-17%
$15,140
$4,284
PROGYNY INC
348,487 sh
74,227 sh
27%
$14,772
$6,701
INTER PARFUMS INC
241,698 sh
41,108 sh
20%
$14,620
$7,128
INARI MEDICAL INC COM
147,211 sh
147,211 sh
NEW
$12,850
$12,850
CHART INDUSTRIES
108,693 sh
-7,486 sh
-6%
$12,803
$4,639
Cardlytics Inc.
89,613 sh
-32,893 sh
-27%
$12,794
$4,149
TELOS CORP MD COM
386,818 sh
386,818 sh
NEW
$12,757
$12,757
ALPHATEC HLDGS INC
854,518 sh
854,518 sh
NEW
$12,408
$12,408
E L F BEAUTY INC
491,304 sh
114,550 sh
30%
$12,376
$5,455
ITRON INC
127,910 sh
4,427 sh
4%
$12,267
$4,767
1LIFE HEALTHCARE INC
275,148 sh
9,082 sh
3%
$12,010
$4,464
BROOKS AUTOMATION INC
175,079 sh
5,019 sh
3%
$11,879
$4,012
MIMECAST LTD ORD SHS
208,306 sh
48,617 sh
30%
$11,840
$4,347
AMERICAN EAGLE OUTFITTERS IN
586,564 sh
586,564 sh
NEW
$11,772
$11,772
WNS HOLDINGS LTD SPON ADR
162,857 sh
34,578 sh
27%
$11,734
$3,529
BLACKLINE INC
87,827 sh
-19,436 sh
-18%
$11,714
$2,100
FABRINET SHS
149,370 sh
39,323 sh
36%
$11,590
$4,654
CROCS INC
182,818 sh
-46,287 sh
-20%
$11,455
$1,665
ELASTIC N V ORD SHS
78,096 sh
21,823 sh
39%
$11,412
$5,341
WORKIVA INC
124,083 sh
-23,401 sh
-16%
$11,368
$3,144
MERCURY SYS INC
128,617 sh
26,159 sh
26%
$11,326
$3,390
AMEDISYS INC
38,582 sh
1,251 sh
3%
$11,317
$2,491
FORMFACTOR INC
262,971 sh
-57,975 sh
-18%
$11,313
$3,312
SHAKE SHACK INC
133,368 sh
133,368 sh
NEW
$11,307
$11,307
PROS Holdings Inc
221,089 sh
221,089 sh
NEW
$11,225
$11,225
MYOVANT SCIENCES LTD COM
403,839 sh
101,049 sh
33%
$11,154
$6,900
PAGERDUTY INC
266,572 sh
-20,651 sh
-7%
$11,116
$3,329
Air Transport Services Grp
354,641 sh
11,232 sh
3%
$11,114
$2,508
LATTICE SEMICONDUCTOR CORP
242,025 sh
-78,801 sh
-25%
$11,090
$1,799
Q2 Holdings, Inc.
87,090 sh
35,908 sh
70%
$11,019
$6,348
PERSONALIS INC
300,620 sh
300,620 sh
NEW
$11,006
$11,006
SILICON LABORATORIES INC
85,874 sh
15,845 sh
23%
$10,935
$4,083
SCHRODINGER INC
137,981 sh
72,768 sh
112%
$10,925
$7,827
METHODE ELECTRS INC
285,182 sh
10,027 sh
4%
$10,917
$3,075
TECHTARGET INC
184,169 sh
38,882 sh
27%
$10,886
$4,499
KORNIT DIGITAL LTD SHS
120,478 sh
4,015 sh
3%
$10,738
$3,183
WILLSCOT CORP
463,033 sh
14,427 sh
3%
$10,728
$3,245
BANDWIDTH INC
67,467 sh
11,192 sh
20%
$10,368
$544
LHC Group
48,238 sh
11,553 sh
31%
$10,290
$2,492
AZEK CO INC CL A COMMON STOCK
267,155 sh
67,700 sh
34%
$10,272
$3,329
SEACOAST BKG CORP FLA COM NEW
343,675 sh
-139,936 sh
-29%
$10,121
$1,401
FOX FACTORY HOLDING
94,961 sh
-2,986 sh
-3%
$10,038
$2,758
FIRST MERCHANTS CORP COM
268,120 sh
-82,699 sh
-24%
$10,030
$1,905
VROOM INC COM
243,577 sh
149,467 sh
159%
$9,979
$5,106
FIVE9 INC
57,135 sh
-5,662 sh
-9%
$9,964
$1,820
ENDAVA PLC ADS
129,689 sh
3,660 sh
3%
$9,954
$1,995
MONTROSE ENVIRONMENTAL GROUP COM
321,039 sh
321,039 sh
NEW
$9,939
$9,939
ALLEGIANT TRAVEL CO
52,152 sh
52,152 sh
NEW
$9,869
$9,869
MSA SAFETY INC
65,907 sh
-8,830 sh
-12%
$9,846
-$181
EMERGENT BIOSOLUTN INC COM
109,786 sh
30,486 sh
38%
$9,837
$1,643
Omnicell, Inc.
81,779 sh
-17,625 sh
-18%
$9,815
$2,393
GOHEALTH INC Common Stock
711,221 sh
449,399 sh
172%
$9,715
$6,305
FTI CONSULTING INC
86,943 sh
2,936 sh
3%
$9,713
$811
TREX CO INC
115,778 sh
3,777 sh
3%
$9,693
$1,674
WINGSTOP INC
73,100 sh
41,120 sh
129%
$9,689
$5,319
SEMTECH CORP
134,371 sh
4,416 sh
3%
$9,687
$2,805
Saia, Inc.
52,902 sh
-6,196 sh
-10%
$9,565
$2,110
LGI Homes
90,022 sh
54,053 sh
150%
$9,529
$5,350
UPWORK INC
273,827 sh
-257,690 sh
-48%
$9,453
$183
HEALTHEQUITY INC
135,088 sh
24,807 sh
22%
$9,417
$3,752
CUBIC CORP
150,768 sh
26,009 sh
21%
$9,354
$2,097
SKYLINE CHAMPION CORPORATION
300,010 sh
67,957 sh
29%
$9,282
$3,070
VITAL FARMS INC COM
360,189 sh
181,035 sh
101%
$9,116
$1,855
REPLIGEN CORP
47,467 sh
1,617 sh
4%
$9,096
$2,331
HOULIHAN LOKEY INC
135,272 sh
4,446 sh
3%
$9,094
$1,369
LIVEPERSON INC
145,750 sh
45,510 sh
45%
$9,070
$3,859
EXPONENT INC
99,609 sh
3,634 sh
4%
$8,968
$2,055
PAPA JOHNS INTL INC
103,740 sh
103,740 sh
NEW
$8,802
$8,802
NLIGHT INC
269,511 sh
8,537 sh
3%
$8,800
$2,672
MARTEN TRANS LTD
508,764 sh
87,631 sh
21%
$8,766
$1,893
Adaptive Biotechnologies Corpo
146,968 sh
5,606 sh
4%
$8,690
$1,816
Redfin Corp
125,048 sh
-16,680 sh
-12%
$8,582
$1,506
Installed Building Products, I
83,670 sh
14,945 sh
22%
$8,528
$1,535
AVID BIOSERVICES INC
727,824 sh
270,714 sh
59%
$8,399
$4,916
OLLIES BARGAIN OUTLT HLDGS I
100,725 sh
41,266 sh
69%
$8,236
$3,042
SILVERGATE CAP CORP CL A
109,252 sh
109,252 sh
NEW
$8,119
$8,119
INTELLIGENT SYS CORP NEW
201,556 sh
6,133 sh
3%
$8,084
$466
IOVANCE BIOTHERAPEUTICS INC
165,507 sh
-62,057 sh
-27%
$7,680
$189
APPIAN CORP
46,394 sh
-66,538 sh
-59%
$7,520
$208
TG THERAPEUTICS INC
144,414 sh
-124,390 sh
-46%
$7,512
$319
SITEONE LANDSCAPE SUPPLY
45,977 sh
-20,184 sh
-31%
$7,293
-$775
APPFOLIO INC
39,215 sh
1,465 sh
4%
$7,060
$1,707
EVENTBRITE INC
368,402 sh
368,402 sh
NEW
$6,668
$6,668
TANDEM DIABETES CARE INC
66,080 sh
2,301 sh
4%
$6,323
-$916
INTRA CELLULAR THERAPIES INC
190,833 sh
190,833 sh
NEW
$6,068
$6,068
FRESHPET INC
42,298 sh
1,411 sh
3%
$6,006
$1,441
MIRATI THERAPEUTICS INC
27,090 sh
845 sh
3%
$5,950
$1,592
BIOLIFE SOLUTIONS INC
148,087 sh
148,087 sh
NEW
$5,907
$5,907
CRYOPORT INC
130,150 sh
4,350 sh
3%
$5,711
-$252
BIOHAVEN PHARMACTL HLDG CO L COM
66,612 sh
2,117 sh
3%
$5,709
$1,516
PURPLE INNOVATION INC
165,605 sh
-138,975 sh
-46%
$5,455
-$2,117
FIVERR INTL LTD ORD SHS
27,679 sh
-19,527 sh
-41%
$5,400
-$1,161
TENABLE HLDGS INC
101,718 sh
101,718 sh
NEW
$5,316
$5,316
ONTRAK INC COMMON
83,995 sh
2,289 sh
3%
$5,190
$288
CERUS CORP
712,389 sh
19,647 sh
3%
$4,930
$593
TEXAS ROADHOUSE INC
59,537 sh
-53,148 sh
-47%
$4,653
-$2,197
PTC THERAPEUTICS INC
71,873 sh
-4,518 sh
-6%
$4,386
$815
ALLOGENE THERAPEUTICS INC
152,071 sh
3,843 sh
3%
$3,838
-$1,752
CREE INC
9,922 sh
5,463 sh
123%
$1,051
$767
Pinterest, Inc.
12,502 sh
-7,561 sh
-38%
$824
-$9
OAK STREET HEALTH COM
13,270 sh
7,732 sh
140%
$812
$516
Coupa Software Incorporated
2,083 sh
755 sh
57%
$706
$342
CATALENT INC
6,240 sh
-259 sh
-4%
$649
$92
Insulet Corp
2,473 sh
-693 sh
-22%
$632
-$117
WIX COM LTD SHS
2,058 sh
2,058 sh
NEW
$514
$514
MongoDB, Inc.
1,407 sh
-1,218 sh
-46%
$505
-$103
Avalara Inc
2,697 sh
-22,119 sh
-89%
$445
-$2,715
MSCI INC.
817 sh
-747 sh
-48%
$365
-$193
SOLAREDGE TECHNOLOGIES INC
1,081 sh
1,081 sh
NEW
$345
$345
MAXIMUS INC
140 sh
-125,067 sh
-100%
$10
-$8,555
Lyft Inc
150 sh
150 sh
NEW
$7
$7
BWX TECHNOLOGIES INC
102 sh
102 sh
NEW
$6
$6
II VI INC
78 sh
78 sh
NEW
$6
$6
Ansys Inc.
15 sh
15 sh
NEW
$5
$5
Enphase Energy, Inc.
0 sh
-111,929 sh
-100%
$0
-$9,244
BJS WHSL CLUB HLDGS INC
0 sh
-195,985 sh
-100%
$0
-$8,143
UNIFIRST CORP MASS
0 sh
-40,501 sh
-100%
$0
-$7,670
Axon Enterprise Inc
0 sh
-80,980 sh
-100%
$0
-$7,345
HELEN OF TROY CORP LTD
0 sh
-35,894 sh
-100%
$0
-$6,946
EPIZYME INC
0 sh
-574,299 sh
-100%
$0
-$6,851
SPROUTS FMRS MKT INC COM
0 sh
-326,790 sh
-100%
$0
-$6,840
ESCO TECHNOLOGIES INC
0 sh
-84,576 sh
-100%
$0
-$6,813
VOCERA COMMUNICATIONS INC
0 sh
-227,204 sh
-100%
$0
-$6,607
RAVEN INDS INC
0 sh
-304,733 sh
-100%
$0
-$6,558
INPHI CORP COM
0 sh
-48,969 sh
-100%
$0
-$5,497
GUARDANT HEALTH INC
0 sh
-45,416 sh
-100%
$0
-$5,077
Everbridge, Inc.
0 sh
-29,359 sh
-100%
$0
-$3,691
ROKU INC CL A
0 sh
-2,679 sh
-100%
$0
-$506
Chewy, Inc.
0 sh
-8,713 sh
-100%
$0
-$478
GOODRX HLDGS INC COM CL A
0 sh
-5,947 sh
-100%
$0
-$331