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Pier Capital, LLC 13F filings

Manager(s): Alexander Yakirevich

Holdings as of 2021-03-31

Filed on 2021-05-13 under CIK 1310051

Company
Investment Type
Change
Value (x$1000)
increase or decrease
EVENTBRITE INC
716,874 sh
348,472 sh
95%
$15,886
$9,218
BROOKS AUTOMATION INC
182,118 sh
7,039 sh
4%
$14,870
$2,991
PAPA JOHNS INTL INC
163,623 sh
59,883 sh
58%
$14,504
$5,702
FABRINET SHS
159,551 sh
10,181 sh
7%
$14,422
$2,832
SKYLINE CHAMPION CORPORATION
317,995 sh
17,985 sh
6%
$14,392
$5,110
FRESHPET INC
90,499 sh
48,201 sh
114%
$14,372
$8,366
Saia, Inc.
61,235 sh
8,333 sh
16%
$14,120
$4,555
MONTROSE ENVIRONMENTAL GROUP COM
281,302 sh
-39,737 sh
-12%
$14,119
$4,180
E L F BEAUTY INC
520,336 sh
29,032 sh
6%
$13,961
$1,585
INTER PARFUMS INC
193,793 sh
-47,905 sh
-20%
$13,746
-$874
MARTEN TRANS LTD
802,415 sh
293,651 sh
58%
$13,617
$4,851
TELOS CORP MD COM
358,370 sh
-28,448 sh
-7%
$13,589
$832
BANDWIDTH INC
106,360 sh
38,893 sh
58%
$13,480
$3,112
CROCS INC
166,981 sh
-15,837 sh
-9%
$13,434
$1,979
AMERICAN EAGLE OUTFITTERS IN
457,421 sh
-129,143 sh
-22%
$13,375
$1,603
WILLSCOT CORP
481,900 sh
18,867 sh
4%
$13,373
$2,645
SEACOAST BKG CORP FLA COM NEW
366,549 sh
22,874 sh
7%
$13,284
$3,163
MAXIMUS INC
148,927 sh
148,787 sh
106276%
$13,260
$13,250
Evercore Inc.
100,489 sh
-37,601 sh
-27%
$13,238
-$1,902
EXPONENT INC
135,021 sh
35,412 sh
36%
$13,158
$4,190
AXCELIS TECHNOLOGIES INC
313,984 sh
313,984 sh
NEW
$12,902
$12,902
SILICON LABORATORIES INC
91,069 sh
5,195 sh
6%
$12,847
$1,912
METHODE ELECTRS INC
303,215 sh
18,033 sh
6%
$12,729
$1,812
Redfin Corp
190,468 sh
65,420 sh
52%
$12,683
$4,101
SEMTECH CORP
183,092 sh
48,721 sh
36%
$12,633
$2,946
NLIGHT INC
388,768 sh
119,257 sh
44%
$12,596
$3,796
KORNIT DIGITAL LTD SHS
127,033 sh
6,555 sh
5%
$12,592
$1,854
FORMFACTOR INC
276,667 sh
13,696 sh
5%
$12,480
$1,167
BLACKLINE INC
114,392 sh
26,565 sh
30%
$12,400
$686
HOULIHAN LOKEY INC
185,840 sh
50,568 sh
37%
$12,360
$3,266
DIODES INC
154,534 sh
154,534 sh
NEW
$12,338
$12,338
WNS HOLDINGS LTD SPON ADR
169,390 sh
6,533 sh
4%
$12,271
$537
TG THERAPEUTICS INC
253,271 sh
108,857 sh
75%
$12,208
$4,696
ITRON INC
136,400 sh
8,490 sh
7%
$12,092
-$175
WINGSTOP INC
94,829 sh
21,729 sh
30%
$12,059
$2,370
ALPHATEC HLDGS INC
763,059 sh
-91,459 sh
-11%
$12,049
-$359
INTELLIGENT SYS CORP NEW
293,889 sh
92,333 sh
46%
$12,023
$3,939
MOELIS & CO.
216,292 sh
216,292 sh
NEW
$11,870
$11,870
SHAKE SHACK INC
104,914 sh
-28,454 sh
-21%
$11,831
$524
LHC Group
61,876 sh
13,638 sh
28%
$11,831
$1,541
POWER INTEGRATIONS INC
143,839 sh
143,839 sh
NEW
$11,720
$11,720
AZEK CO INC CL A COMMON STOCK
278,077 sh
10,922 sh
4%
$11,693
$1,421
PROGYNY INC
260,768 sh
-87,719 sh
-25%
$11,607
-$3,165
Glacier Bancorp, Inc. COM
203,217 sh
203,217 sh
NEW
$11,600
$11,600
ENDAVA PLC ADS
136,866 sh
7,177 sh
6%
$11,591
$1,637
LATTICE SEMICONDUCTOR CORP
255,571 sh
13,546 sh
6%
$11,506
$416
HEXCEL CORP NEW
205,242 sh
205,242 sh
NEW
$11,494
$11,494
Installed Building Products, I
103,279 sh
19,609 sh
23%
$11,452
$2,924
MYOVANT SCIENCES LTD COM
554,779 sh
150,940 sh
37%
$11,417
$263
ALLEGRO MICROSYSTEMS ORD COMMON STOCK
445,078 sh
445,078 sh
NEW
$11,283
$11,283
CRYOPORT INC
216,269 sh
86,119 sh
66%
$11,248
$5,537
MAGNITE INC
268,290 sh
268,290 sh
NEW
$11,164
$11,164
Omnicell, Inc.
85,829 sh
4,050 sh
5%
$11,147
$1,332
BIOHAVEN PHARMACTL HLDG CO L COM
162,934 sh
96,322 sh
145%
$11,137
$5,428
SEER INC COM
221,318 sh
221,318 sh
NEW
$11,070
$11,070
MERITOR INC
375,306 sh
375,306 sh
NEW
$11,042
$11,042
CHART INDUSTRIES
77,137 sh
-31,556 sh
-29%
$10,980
-$1,823
LIVEPERSON INC
206,801 sh
61,051 sh
42%
$10,907
$1,837
Air Transport Services Grp
370,358 sh
15,717 sh
4%
$10,837
-$277
AVID BIOSERVICES INC
593,937 sh
-133,887 sh
-18%
$10,827
$2,428
MSA SAFETY INC
70,651 sh
4,744 sh
7%
$10,599
$753
PAGERDUTY INC
261,247 sh
-5,325 sh
-2%
$10,510
-$606
Cardlytics Inc.
94,558 sh
4,945 sh
6%
$10,373
-$2,421
ALECTOR INC
505,403 sh
505,403 sh
NEW
$10,179
$10,179
TENABLE HLDGS INC
280,009 sh
178,291 sh
175%
$10,132
$4,816
PROS Holdings Inc
234,162 sh
13,073 sh
6%
$9,952
-$1,273
UPWORK INC
221,238 sh
-52,589 sh
-19%
$9,905
$452
TECHTARGET INC
142,524 sh
-41,645 sh
-23%
$9,898
-$988
REPLIGEN CORP
50,656 sh
3,189 sh
7%
$9,848
$752
ALLOGENE THERAPEUTICS INC
273,646 sh
121,575 sh
80%
$9,660
$5,822
HEALTHEQUITY INC
141,047 sh
5,959 sh
4%
$9,591
$174
FIVE9 INC
60,664 sh
3,529 sh
6%
$9,484
-$480
Q2 Holdings, Inc.
92,388 sh
5,298 sh
6%
$9,257
-$1,762
CODEXIS INC
368,023 sh
368,023 sh
NEW
$8,424
$8,424
LGI Homes
56,333 sh
-33,689 sh
-37%
$8,411
-$1,118
SITEONE LANDSCAPE SUPPLY
49,188 sh
3,211 sh
7%
$8,398
$1,105
FOX FACTORY HOLDING
63,424 sh
-31,537 sh
-33%
$8,059
-$1,979
PURPLE INNOVATION INC
252,832 sh
87,227 sh
53%
$8,002
$2,547
MIRATI THERAPEUTICS INC
44,218 sh
17,128 sh
63%
$7,575
$1,625
PERSONALIS INC
305,259 sh
4,639 sh
2%
$7,512
-$3,494
SCHRODINGER INC
98,115 sh
-39,866 sh
-29%
$7,485
-$3,440
WORKIVA INC
80,367 sh
-43,716 sh
-35%
$7,093
-$4,275
CERUS CORP
1,119,939 sh
407,550 sh
57%
$6,731
$1,801
ACUTUS MEDICAL COM
482,483 sh
482,483 sh
NEW
$6,451
$6,451
SPROUT SOCIAL INC
111,124 sh
111,124 sh
NEW
$6,419
$6,419
Adaptive Biotechnologies Corpo
156,961 sh
9,993 sh
7%
$6,319
-$2,371
TANDEM DIABETES CARE INC
71,030 sh
4,950 sh
7%
$6,268
-$55
OLLIES BARGAIN OUTLT HLDGS I
71,736 sh
-28,989 sh
-29%
$6,241
-$1,995
VROOM INC COM
153,176 sh
-90,401 sh
-37%
$5,972
-$4,007
EMERGENT BIOSOLUTN INC COM
64,274 sh
-45,512 sh
-41%
$5,972
-$3,865
SILVERGATE CAP CORP CL A
41,648 sh
-67,604 sh
-62%
$5,921
-$2,198
RAVEN INDS INC
153,397 sh
153,397 sh
NEW
$5,880
$5,880
BIOLIFE SOLUTIONS INC
162,848 sh
14,761 sh
10%
$5,863
-$44
YEXT INC
391,339 sh
391,339 sh
NEW
$5,667
$5,667
LINDBLAD EXPEDITIONS HLDGS I
297,986 sh
297,986 sh
NEW
$5,632
$5,632
INARI MEDICAL INC COM
50,906 sh
-96,305 sh
-65%
$5,447
-$7,403
SmileDirectClub Inc
521,998 sh
521,998 sh
NEW
$5,382
$5,382
VITAL FARMS INC COM
245,390 sh
-114,799 sh
-32%
$5,359
-$3,757
Pinterest, Inc.
15,991 sh
3,489 sh
28%
$1,184
$360
MSCI INC.
2,226 sh
1,409 sh
172%
$933
$568
WIX COM LTD SHS
3,221 sh
1,163 sh
57%
$899
$385
Insulet Corp
3,274 sh
801 sh
32%
$854
$222
SOLAREDGE TECHNOLOGIES INC
2,929 sh
1,848 sh
171%
$842
$497
CREE INC
6,967 sh
-2,955 sh
-30%
$753
-$298
Coupa Software Incorporated
2,192 sh
109 sh
5%
$558
-$148
ELASTIC N V ORD SHS
4,897 sh
-73,199 sh
-94%
$545
-$10,867
Avalara Inc
3,048 sh
351 sh
13%
$407
-$38
CATALENT INC
3,689 sh
-2,551 sh
-41%
$388
-$261
OAK STREET HEALTH COM
7,017 sh
-6,253 sh
-47%
$381
-$431
MongoDB, Inc.
1,374 sh
-33 sh
-2%
$367
-$138
FTI CONSULTING INC
157 sh
-86,786 sh
-100%
$22
-$9,691
MERCURY SYS INC
208 sh
-128,409 sh
-100%
$15
-$11,311
Lyft Inc
150 sh
 
$9
Ansys Inc.
15 sh
 
$5
II VI INC
78 sh
 
$5
APPIAN CORP
27 sh
-46,367 sh
-100%
$4
-$7,516
1LIFE HEALTHCARE INC
0 sh
-275,148 sh
-100%
$0
-$12,010
MIMECAST LTD ORD SHS
0 sh
-208,306 sh
-100%
$0
-$11,840
AMEDISYS INC
0 sh
-38,582 sh
-100%
$0
-$11,317
FIRST MERCHANTS CORP COM
0 sh
-268,120 sh
-100%
$0
-$10,030
ALLEGIANT TRAVEL CO
0 sh
-52,152 sh
-100%
$0
-$9,869
GOHEALTH INC Common Stock
0 sh
-711,221 sh
-100%
$0
-$9,715
TREX CO INC
0 sh
-115,778 sh
-100%
$0
-$9,693
CUBIC CORP COM
0 sh
-150,768 sh
-100%
$0
-$9,354
IOVANCE BIOTHERAPEUTICS INC
0 sh
-165,507 sh
-100%
$0
-$7,680
APPFOLIO INC
0 sh
-39,215 sh
-100%
$0
-$7,060
INTRA CELLULAR THERAPIES INC
0 sh
-190,833 sh
-100%
$0
-$6,068
FIVERR INTL LTD ORD SHS
0 sh
-27,679 sh
-100%
$0
-$5,400
ONTRAK INC COMMON
0 sh
-83,995 sh
-100%
$0
-$5,190
TEXAS ROADHOUSE INC
0 sh
-59,537 sh
-100%
$0
-$4,653
PTC THERAPEUTICS INC
0 sh
-71,873 sh
-100%
$0
-$4,386