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Riverbridge Partners LLC 13F filings

Manager(s): CIO Mark A. Thompson, and Portfolio Manager Rick D. Moulton

Holdings as of 2020-09-30

Filed on 2020-10-08 under CIK 1112325

Company name, stock class and CUSIPValue (x$1000) Shares
2U Inc.
COM 90214J101
$59,882 1,768,507 sh 
3M Company
COM 88579Y101
$958 5,981 sh 
ABBOTT LABS
COM 002824100
$1,713 15,744 sh 
ALARM COM HLDGS INC
COM 011642105
$92,903 1,681,501 sh 
ALIGN TECHNOLOGY INC
COM 016255101
$43,878 134,035 sh 
Alphabet Inc., Cl. A
COM 02079K305
$33,845 23,093 sh 
Alphabet Inc., Cl. C
COM 02079K107
$24,858 16,915 sh 
AMAZON COM INC
COM 023135106
$111,789 35,503 sh 
AMCOR PLC
ORD G0250X107
$169 15,300 sh 
AMEDISYS INC
COM 023436108
$164,069 693,943 sh 
AMERICAN EXPRESS CO
COM 025816109
$356 3,550 sh 
AMERICAN GROWTH FD OF AMERICA
COM 399874106
$451 7,424 sh 
AMN HEALTHCARE SERVICES INC
COM 001744101
$82,715 1,414,895 sh 
ANALOG DEVICES INC
COM 032654105
$61,907 530,297 sh 
Ansys Inc.
COM 03662Q105
$154,346 471,676 sh 
APPLE INC
COM 037833100
$7,944 68,592 sh 
ASPEN TECHNOLOGY INC
COM 045327103
$24,095 190,335 sh 
ASSOCIATED BANC CORP
COM 045487105
$1,200 95,100 sh 
Avalara Inc
COM 05338G106
$29,665 232,960 sh 
BERKSHIRE HATHAWAY INC DEL
CL B NEW 084670702
$707 3,320 sh 
BIO-TECHNE CORP
COM 09073M104
$99,216 400,502 sh 
BLACKLINE INC
COM 09239B109
$171,220 1,910,297 sh 
BRISTOL MYERS SQUIBB CO
COM 110122108
$351 5,825 sh 
CABOT CORP
COM 127055101
$403 11,188 sh 
CALAVO GROWERS INC
COM 128246105
$20,805 313,943 sh 
CASS INFORMATION SYS INC
COM 14808P109
$12,824 318,676 sh 
Chemed Corp
COM 16359R103
$167,617 348,948 sh 
Cisco Systems
COM 17275R102
$3,335 84,674 sh 
CMC Materials, Inc.
COM 12571T100
$22,851 160,013 sh 
COCA COLA CO
COM 191216100
$363 7,348 sh 
COGNEX CORP
COM 192422103
$32,717 502,568 sh 
COLGATE PALMOLIVE CO
COM 194162103
$365 4,730 sh 
CoStar Group, Inc.
COM 22160N109
$193,591 228,155 sh 
COSTCO WHOLESALE CRP DEL
COM 22160K105
$304 857 sh 
DANAHER CORPORATION
COM 235851102
$70,948 329,486 sh 
DESCARTES SYS GROUP INC
COM 249906108
$36,187 635,090 sh 
DISNEY WALT CO
COM DISNEY 254687106
$450 3,628 sh 
DORMAN PRODUCTS INC
COM 258278100
$21,819 241,410 sh 
ECOLAB INC
COM 278865100
$73,634 368,465 sh 
ENSIGN GROUP INC
COM 29358P101
$35,167 616,311 sh 
EQUIFAX INC
COM 294429105
$3,712 23,660 sh 
EVOLENT HEALTH INC
CL A 30050B101
$268 21,609 sh 
EXLSERVICE HOLDINGS INC
COM 302081104
$22,342 338,669 sh 
EXPONENT INC
COM 30214U102
$67,406 935,805 sh 
Facebook, Inc.
COM 30303M102
$216 824 sh 
FASTENAL CO
COM 311900104
$149,918 3,324,854 sh 
FIDELITY CONTRAFUND
COM 316071109
$266 15,922 sh 
FIDELITY TR 500 INDEX INS PREM
MF 315911750
$1,485 12,681 sh 
FISERV INC
COM 337738108
$2,023 19,628 sh 
FIVE BELOW INC
COM 33829M101
$204,443 1,609,789 sh 
FIVE9 INC
COM 338307101
$65,196 502,745 sh 
FLOOR & DECOR HLDGS INC
CL A 339750101
$53,072 709,522 sh 
FRESHPET INC
COM 358039105
$51,434 460,670 sh 
GENTEX CORP
COM 371901109
$95,214 3,697,628 sh 
GLOBANT S A
COM L44385109
$256,206 1,429,559 sh 
GODADDY INC
CL A 380237107
$47,937 630,999 sh 
Goosehead Insurance, Inc.
COM 38267D109
$20,113 232,280 sh 
Grand Canyon Ed Inc
Common stock 38526M106
$144,300 1,805,099 sh 
GUIDEWIRE SOFTWARE
COM 40171V100
$52,619 504,646 sh 
HEALTH CATALYST INC
COM 42225T107
$36,077 985,702 sh 
HEALTHCARE SVCS GRP INC
COM 421906108
$105,205 4,886,457 sh 
HEICO CORP NEW
COM 422806109
$122,532 1,170,758 sh 
HENRY JACK & ASSOC INC
COM 426281101
$65,697 404,067 sh 
HESKA CORP
COM RESTRC NEW 42805E306
$26,915 272,448 sh 
HONEYWELL INTL INC
COM 438516106
$329 2,000 sh 
IAC INTERACTIVECORP NEW COM
Common Stock 44891N109
$65,506 546,888 sh 
IDEXX
COM 45168D104
$50,255 127,839 sh 
IHS MARKIT LTD
SHS G47567105
$63,225 805,305 sh 
ILLUMINA INC
COM 452327109
$324 1,049 sh 
INOGEN INC
COM 45780L104
$7,364 253,931 sh 
INOVALON HLDGS INC
COM CL A 45781D101
$38,707 1,463,410 sh 
INTEL CORP
COM 458140100
$2,360 45,583 sh 
INTERNATIONAL FLAVORS&FRAGRA
COM 459506101
$2,068 16,890 sh 
ISHARES TR
CORE S&P500 ETF 464287200
$810 2,409 sh 
ISHARES TR
RUS 1000 ETF 464287622
$626 3,347 sh 
ISHARES TR
RUS 2000 GRW ETF 464287648
$649 2,930 sh 
ISHARES TR
RUSSELL 2000 ETF 464287655
$499 3,332 sh 
ISHARES TR
CORE S&P US GWT 464287671
$610 7,626 sh 
JOHNSON & JOHNSON
COM 478160104
$3,189 21,422 sh 
JPMORGAN CHASE & CO
CS 46625H100
$611 6,346 sh 
JPMORGAN TR II LARGE CAP GR A
COM 4812C0506
$480 8,585 sh 
KADANT INC
COM 48282T104
$22,902 208,922 sh 
KORNIT DIGITAL LTD
SHS M6372Q113
$89,480 1,379,378 sh 
LENNOX INTL INC
COM 526107107
$27,877 102,261 sh 
LINDE PLC
SHS G5494J103
$38,480 161,592 sh 
MAXIMUS INC
COM 577933104
$30,163 440,909 sh 
MCDONALDS CORP
COM 580135101
$645 2,940 sh 
MEDTRONIC PLC
SHS G5960L103
$627 6,029 sh 
MICROSOFT CORP
COM 594918104
$155,093 737,378 sh 
MIDDLEBY CORP
COM 596278101
$16,063 179,056 sh 
NATIONAL INSTRS CORP
COM 636518102
$96,515 2,703,499 sh 
NATIONAL VISION HLDGS INC
COM 63845R107
$35,416 926,155 sh 
NEOGEN CORP
COM 640491106
$101,366 1,295,409 sh 
Netflix Inc
cs 64110L106
$37,578 75,151 sh 
Nvidia Corp.
COM 67066G104
$55,777 103,058 sh 
OLLIES BARGAIN OUTLT HLDGS I
COM 681116109
$88,100 1,008,589 sh 
Oracle Corp
COM 68389X105
$300 5,020 sh 
ORTHOPEDIATRICS
COM 68752L100
$45,398 988,623 sh 
PAYCHEX INC
COM 704326107
$2,095 26,264 sh 
Paycom Software
COM 70432V102
$122,296 392,855 sh 
Paylocity Holding Corporation
COM 70438V106
$86,337 534,860 sh 
PEGASYSTEMS INC
COM 705573103
$148,218 1,224,535 sh 
PENNANT GROUP INC COM
COM 70805E109
$22,371 580,156 sh 
PEPSICO INC
COM 713448108
$3,953 28,522 sh 
PetIQ, Inc.
COM 71639T106
$21,514 653,530 sh 
PLURALSIGHT INC
COM CL A 72941B106
$78,947 4,608,718 sh 
POWER INTEGRATIONS INC
COM 739276103
$33,553 605,644 sh 
PRA Group, Inc.
COM 69354N106
$54,119 1,354,658 sh 
PROCTER & GAMBLE CO
COM 742718109
$2,466 17,739 sh 
PROS Holdings Inc
COM 74346Y103
$44,194 1,383,650 sh 
PROTO LABS INC
COM 743713109
$201,185 1,553,555 sh 
RECKITT BENCKISER GROUP PLC
COM 756255204
$1,789 91,546 sh 
RITCHIE BROS AUCTIONEERS
COM 767744105
$211,251 3,565,424 sh 
RIVERBRIDGE GROWTH FUND - INST
COM 46141P404
$17,185 604,053 sh 
ROCHE HOLDING AG ADR
COM 771195104
$28,983 675,936 sh 
ROCKWELL AUTOMATION INC
COM 773903109
$2,448 11,091 sh 
ROGERS CORP
COM 775133101
$17,535 178,814 sh 
ROLLINS INC
COM 775711104
$124,873 2,304,347 sh 
Salesforce.com
COM 79466L302
$96,348 383,368 sh 
SERVICEMASTER GLBL
COM 81761R109
$33,839 848,530 sh 
SERVICENOW INC
COM 81762P102
$58,039 119,669 sh 
SMITH A O CORP
COM 831865209
$54,968 1,041,068 sh 
SNAP ON INC
COM 833034101
$2,073 14,087 sh 
SPDR SERIES TRUST
BLMBRG BRC CNVRT 78464A359
$344 5,000 sh 
SPS Commerce
COM 78463M107
$67,955 872,667 sh 
STARBUCKS CORP
COM 855244109
$67,935 790,676 sh 
STRYKER CORP
COM 863667101
$396 1,900 sh 
TARGET CORP
CS 87612E106
$366 2,327 sh 
Teladoc, Inc.
COM 87918A105
$120,048 547,566 sh 
Tesla Inc
cs 88160R101
$759 1,770 sh 
TJX COS INC NEW
COM 872540109
$2,940 52,835 sh 
TRUPANION INC
COM 898202106
$399 5,053 sh 
TYLER TECHNOLOGIES INC
COM 902252105
$152,555 437,672 sh 
UnitedHealth Group
COM 91324P102
$58,965 189,130 sh 
US BANCORP DEL
COM NEW 902973304
$310 8,637 sh 
US Physical Therapy Inc
COM 90337L108
$30,259 348,289 sh 
VANGUARD INDEX FDS
COM 922908710
$8,733 28,145 sh 
VANGUARD INDEX FDS
TOTAL STK MKT 922908769
$277 1,624 sh 
VEEVA SYS INC
CL A COM 922475108
$102,951 366,126 sh 
VERISK ANALYTICS INC
COM 92345Y106
$170,103 917,940 sh 
Visa Inc.
COM 92826C839
$41,673 208,395 sh 
WALMART INC
COM 931142103
$2,720 19,444 sh 
WASTE MANAGEMENT INC NEW
CS 94106L109
$283 2,500 sh 
WATSCO INC
COM 942622200
$35,728 153,413 sh 
WEST PHARMACEUTICAL SVSC INC
COM 955306105
$161,702 588,220 sh 
WILLSCOT CORP
COM 971378104
$45,615 2,734,716 sh 
WORKIVA INC
COM CL A 98139A105
$85,776 1,538,299 sh 
XCEL ENERGY INC MINN
COM 98389B100
$263 3,810 sh