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Pier Capital, LLC 13F filings

Manager(s): Alexander Yakirevich

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Holdings as of 2020-06-30

Filed on 2020-08-13 under CIK 1310051

Company name, stock class and CUSIPValue (x$1000) Shares
FTI CONSULTING INC
COM 302941109
$9,797$9,79785,529 sh85,529 sh
NEW
SITEONE LANDSCAPE SUPPLY
COM 82982L103
$9,559$2,19983,873 sh-16,104 sh
-16%
LATTICE SEMICONDUCTOR CORP
COM 518415104
$9,211$3,112324,444 sh-17,801 sh
-5%
HELEN OF TROY CORP LTD
COM G4388N106
$8,972$8,97247,583 sh47,583 sh
NEW
BJS WHSL CLUB HLDGS INC
COM 05550J101
$8,929$3,014239,586 sh7,351 sh
3%
Redfin Corp
COM 75737F108
$8,916$7,000212,734 sh88,483 sh
71%
WOODWARD INC
COM 980745103
$8,748$4,421112,808 sh40,006 sh
55%
CROCS INC
COM 227046109
$8,551$6,064232,250 sh85,886 sh
59%
ITRON INC
COM 465741106
$8,549$2,989129,040 sh29,445 sh
30%
LHC Group
COM 50187A107
$8,487$2,61448,684 sh6,792 sh
16%
SEMTECH CORP
COM 816850101
$8,384$3,919160,542 sh41,471 sh
35%
Evercore Inc.
COM 29977A105
$8,368$4,879142,015 sh66,259 sh
87%
BLACKLINE INC
COM 09239B109
$8,313$3,108100,265 sh1,320 sh
1%
WORKIVA INC
COM CL A 98139A105
$8,204$3,231153,380 sh-437 sh
0%
MOBILE MINI INC
COM 60740F105
$8,169$2,164276,928 sh47,973 sh
21%
Axon Enterprise Inc
COM 05464C101
$8,096$8,09682,502 sh82,502 sh
NEW
EXPONENT INC
COM 30214U102
$8,076$2,73799,787 sh25,543 sh
34%
Installed Building Products, I
COM 45780R101
$8,074$3,442117,383 sh1,204 sh
1%
MIRATI THERAPEUTICS INC
COM 60468T105
$7,965$3,17869,766 sh7,494 sh
12%
CHART INDUSTRIES
COM 16115Q308
$7,875$4,289162,407 sh38,665 sh
31%
BROOKS AUTOMATION INC
COM 114340102
$7,873$1,271177,963 sh-38,509 sh
-18%
Air Transport Services Grp
COM 00922R105
$7,791$1,642349,832 sh13,435 sh
4%
WNS HOLDINGS LTD
SPON ADR 92932M101
$7,663$1,817139,386 sh3,360 sh
2%
AMEDISYS INC
COM 023436108
$7,604$1,92938,301 sh7,384 sh
24%
SILICON LABORATORIES INC
COM 826919102
$7,583$1,26875,630 sh1,696 sh
2%
ORASURE TECHNOLOGIES INC
COM 68554V108
$7,532$7,532647,632 sh647,632 sh
NEW
TREX CO INC
COM 89531P105
$7,420$4,15457,046 sh16,297 sh
40%
CATALENT INC
COM 148806102
$7,300$52799,597 sh-30,770 sh
-24%
TECHTARGET INC
COM 87874R100
$7,297$4,302242,992 sh97,676 sh
67%
BANDWIDTH INC
COM CL A 05988J103
$7,257$1,00257,144 sh-35,811 sh
-39%
MSA SAFETY INC
COM 553498106
$7,251$3,50963,360 sh26,380 sh
71%
Enphase Energy, Inc.
COM 29355A107
$7,245$4,279152,302 sh60,449 sh
66%
FIVE9 INC
COM 338307101
$7,191-$39664,979 sh-34,253 sh
-35%
LGI Homes
COM 50187T106
$7,190$3,54981,672 sh1,020 sh
1%
Omnicell, Inc.
COM 68213N109
$7,169$995101,513 sh7,376 sh
8%
PROGYNY INC
COM 74340E103
$7,164$1,234277,573 sh-2,286 sh
-1%
MARTEN TRANS LTD
COM 573075108
$7,146$7,146284,015 sh284,015 sh
NEW
FABRINET
SHS G3323L100
$6,956$276111,435 sh-10,990 sh
-9%
INTER PARFUMS INC
COM 458334109
$6,917$3,386143,653 sh67,464 sh
89%
SEACOAST BKG CORP FLA
COM NEW 811707801
$6,895$3,646337,991 sh160,536 sh
90%
MAXIMUS INC
COM 577933104
$6,874$6,87497,579 sh97,579 sh
NEW
MOELIS & CO.
COM 60786M105
$6,792$4,206217,984 sh125,944 sh
137%
AZEK CO INC CL A
COMMON STOCK 05478C105
$6,784$6,784212,928 sh212,928 sh
NEW
INTELLIGENT SYS CORP NEW
COM 45816D100
$6,771$1,315198,667 sh38,141 sh
24%
VROOM INC
COM 92918V109
$6,735$6,735129,170 sh129,170 sh
NEW
FIRST MERCHANTS CORP
COM 320817109
$6,699$1,495242,966 sh46,514 sh
24%
Saia, Inc.
COM 78709Y105
$6,671$52260,002 sh-23,611 sh
-28%
HOULIHAN LOKEY INC
CL A 441593100
$6,650-$1,681119,516 sh-40,324 sh
-25%
MERCURY SYS INC
COM 589378108
$6,649$1,10784,526 sh6,847 sh
9%
TANDEM DIABETES CARE INC
COM NEW 875372203
$6,494$50765,648 sh-27,393 sh
-29%
CHEGG INC
COM 163092109
$6,320$4693,958 sh-81,392 sh
-46%
KORNIT DIGITAL LTD
SHS M6372Q113
$6,293$3,642117,899 sh11,409 sh
11%
NLIGHT INC
COM 65487K100
$6,179$3,271277,586 sh391 sh
0%
APPIAN CORP
CL A 03782L101
$6,149$1,338119,985 sh408 sh
0%
SPROUTS FMRS MKT INC COM
COM 85208M102
$6,126$6,126239,389 sh239,389 sh
NEW
TEXAS ROADHOUSE INC
COM 882681109
$6,080$3,105115,664 sh43,628 sh
61%
BOSTON BEER INC
CL A 100557107
$6,075$1,76611,320 sh-402 sh
-3%
LIVONGO HEALTH INC
COM 539183103
$6,041$79080,338 sh-103,722 sh
-56%
BELLRING BRANDS INC
COM CL A 079823100
$6,022$854302,015 sh-1,096 sh
0%
PTC THERAPEUTICS INC
COM 69366J200
$5,959$2,031117,448 sh29,395 sh
33%
SKYLINE CHAMPION CORPORATION
COM 830830105
$5,942$1,643244,118 sh-30,077 sh
-11%
GLOBANT S A
COM L44385109
$5,882$2,42939,252 sh-45 sh
0%
REPLIGEN CORP
COM 759916109
$5,759-$1,51746,594 sh-28,775 sh
-38%
ESCO TECHNOLOGIES INC
COM 296315104
$5,740$66367,908 sh1,020 sh
2%
EPIZYME INC
COM 29428V104
$5,706$2,414355,294 sh143,018 sh
67%
Adaptive Biotechnologies Corpo
COM 00650F109
$5,613$5,613116,029 sh116,029 sh
NEW
MIMECAST LTD
ORD SHS G14838109
$5,567$2,905133,641 sh58,235 sh
77%
METHODE ELECTRS INC
COM 591520200
$5,472$2,696175,059 sh70,030 sh
67%
FIVERR INTL LTD
ORD SHS M4R82T106
$5,438$273,661 sh-142,309 sh
-66%
RAVEN INDS INC
COM 754212108
$5,310$2,088246,878 sh95,097 sh
63%
ELASTIC N V
ORD SHS N14506104
$5,270-$1,00757,152 sh-55,317 sh
-49%
APPFOLIO INC
COM CL A 03783C100
$5,052$1,57131,049 sh-327 sh
-1%
SCHRODINGER INC
COMMON STOCK 80810D103
$4,986$1,90254,453 sh-17,058 sh
-24%
CRYOPORT INC
COM PAR $0.001 229050307
$4,909$1,683162,285 sh-26,726 sh
-14%
VOCERA COMMUNICATIONS INC
COM 92857F107
$4,864$2,572229,425 sh121,498 sh
113%
TABULA RASA HEALTHCARE INC
COM 873379101
$4,853$82488,680 sh11,623 sh
15%
HEALTHEQUITY INC
COM 42226A107
$4,845$1,48082,576 sh16,059 sh
24%
OLLIES BARGAIN OUTLT HLDGS I
COM 681116109
$4,835-$1,28549,516 sh-82,550 sh
-63%
IMPINJ INC
COM 453204109
$4,805$2,353174,921 sh28,182 sh
19%
BIOHAVEN PHARMACTL HLDG CO L
COM G11196105
$4,775$1,30365,308 sh-36,726 sh
-36%
FOX FACTORY HOLDING
COM 35138V102
$4,742$4,74257,397 sh57,397 sh
NEW
Cardlytics Inc.
COM 14161W105
$4,650$48666,448 sh-52,667 sh
-44%
CERUS CORP
COM 157085101
$4,635-$2,242702,209 sh-776,758 sh
-53%
WINGSTOP INC
COM 974155103
$4,484-$1,46632,269 sh-42,392 sh
-57%
LIGAND PHARMA
COM 53220K504
$4,472$4,47239,984 sh39,984 sh
NEW
Q2 Holdings, Inc.
COM 74736L109
$4,398-$55351,266 sh-32,556 sh
-39%
Everbridge, Inc.
COM 29978A104
$4,167$1,85430,114 sh8,371 sh
38%
EMERGENT BIOSOLUTN INC COM
COM 29089Q105
$4,080-$1,33651,588 sh-42,015 sh
-45%
LINDBLAD EXPEDITIONS HLDGS I
COM 535219109
$4,054$2,565525,152 sh168,062 sh
47%
CUBIC CORP
COM 229669106
$3,938-$32481,997 sh-21,169 sh
-21%
Insulet Corp
COM 45784P101
$3,936-$1,96620,263 sh-15,360 sh
-43%
GUARDANT HEALTH INC
COM 40131M109
$3,744-$69746,149 sh-17,656 sh
-28%
GROCERY OUTLET HLDG CORP
COM 39874R101
$3,719-$1,75791,142 sh-68,320 sh
-43%
FRESHPET INC
COM 358039105
$3,484-$1,59841,640 sh-37,922 sh
-48%
REGENXBIO INC COM
COM 75901B107
$3,478-$3594,433 sh-14,050 sh
-13%
Avalara Inc
COM 05338G106
$3,365-$3,49125,282 sh-66,628 sh
-72%
PAPA JOHNS INTL INC
COM 698813102
$3,161-$2,28439,800 sh-62,218 sh
-61%
Pinterest, Inc.
COM 72352L106
$649$24129,279 sh2,853 sh
11%
SPOTIFY TECHNOLOGY S A
SHS L8681T102
$557$242,158 sh-2,233 sh
-51%
MSCI INC.
com 55354G100
$494-$771,481 sh-495 sh
-25%
MongoDB, Inc.
COM 60937P106
$485$872,141 sh-775 sh
-27%
SLACK TECHNOLOGIES INC
COM CL A 83088V102
$464$1214,909 sh-1,927 sh
-11%
ROKU INC CL A
COM 77543R102
$454$4543,893 sh3,893 sh
NEW
Twilio Inc Cl A
COM 90138F102
$438-$661,996 sh-3,631 sh
-65%
Chewy, Inc.
COM 16679L109
$385-$2998,620 sh-9,614 sh
-53%
Coupa Software Incorporated
COM 22266L106
$356$911,284 sh-612 sh
-32%
EDWARDS LIFESCIENCES CORP
COM 28176E108
$278$2784,025 sh4,025 sh
NEW
AMN HEALTHCARE SERVICES INC
COM 001744101
$0-$5,5090 sh-95,297 sh
-100%
ZSCALER INC
COM 98980G102
$0-$5,2840 sh-86,830 sh
-100%
Smartsheet Inc Class A
COM 83200N103
$0-$4,8310 sh-116,390 sh
-100%
VAPOTHERM INC
COM 922107107
$0-$3,5140 sh-186,594 sh
-100%
LENDINGTREE INC NEW
COM 52603B107
$0-$3,5050 sh-19,115 sh
-100%
VIRTUSA CORP
COM 92827P102
$0-$3,4280 sh-120,715 sh
-100%
United Community Banks
COM 90984P303
$0-$3,3240 sh-181,523 sh
-100%
CENTURY CMNTYS INC
COM 156504300
$0-$3,2570 sh-224,474 sh
-100%
ADDUS HOMECARE CORP
COM 006739106
$0-$3,0230 sh-44,718 sh
-100%
ADAPTHEALTH CORP
COM CL A 00653Q102
$0-$2,7990 sh-174,964 sh
-100%
UROGEN PHARMA LTD
COM M96088105
$0-$2,6790 sh-150,184 sh
-100%
1LIFE HEALTHCARE INC
COMMON STOCK 68269G107
$0-$2,6770 sh-147,472 sh
-100%
Shockwave Med Inc
COM 82489T104
$0-$2,6150 sh-78,798 sh
-100%
DEXCOM INC
COM 252131107
$0-$5720 sh-2,125 sh
-100%
ZENDESK, INC. CMN
COM 98936J101
$0-$4350 sh-6,791 sh
-100%
OKTA INC
CL A 679295105
$0-$3000 sh-2,451 sh
-100%