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Riverbridge Partners 13F filings

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

Holdings as of 2026-03-31

Filed on 2026-04-17 under CIK 1112325

Company
Investment Type
Change
Value (x$1000)
increase or decrease
NVIDIA Corp.
1,156,543 sh
-370,437 sh
-24%
$201,701
-$83,081
Microsoft Corp
459,806 sh
-33,356 sh
-7%
$170,207
-$68,296
Five Below Inc
572,301 sh
-242,342 sh
-30%
$130,759
-$22,687
RB GLOBAL INC COM
1,275,384 sh
-225,982 sh
-15%
$122,246
-$32,199
Grand Canyon Education Inc
716,586 sh
-136,521 sh
-16%
$121,841
-$20,039
Amazon.com Inc
562,039 sh
-45,727 sh
-8%
$117,056
-$23,229
Ensign Group Inc
569,345 sh
-127,165 sh
-18%
$114,723
-$6,609
Medpace Holdings Inc
237,407 sh
-35,562 sh
-13%
$114,001
-$39,312
HEICO Corp.
406,226 sh
-183,299 sh
-31%
$111,387
-$79,377
Analog Devices Inc
346,665 sh
-27,701 sh
-7%
$110,288
$8,760
Fastenal Co.
2,221,882 sh
-159,678 sh
-7%
$103,095
$7,523
Tyler Technologies Inc
256,413 sh
17,673 sh
7%
$87,791
-$20,585
Kinsale Capital Group Inc
246,236 sh
-22,217 sh
-8%
$84,129
-$20,868
Privia Health Group Inc.
3,917,948 sh
-665,642 sh
-15%
$80,592
-$28,085
Alphabet Inc
267,866 sh
-33,714 sh
-11%
$77,027
-$17,368
Kadant Inc
252,230 sh
76,366 sh
43%
$73,739
$23,614
Rollins Inc
1,242,585 sh
-303,128 sh
-20%
$66,366
-$26,408
West Pharmaceutical Services Inc
261,442 sh
-57,171 sh
-18%
$65,528
-$22,135
S&P Global Inc.
144,215 sh
-10,776 sh
-7%
$61,340
-$19,657
Alphabet Inc
210,154 sh
-20,709 sh
-9%
$60,285
-$12,160
ServiceNow Inc
549,784 sh
75,942 sh
16%
$57,480
-$15,108
Verisk Analytics Inc
291,692 sh
-37,134 sh
-11%
$55,348
-$18,207
Freshpet Inc
923,023 sh
-80,687 sh
-8%
$54,421
-$6,735
Veeva Systems Inc
307,717 sh
-22,426 sh
-7%
$54,054
-$19,644
Paylocity Holding Corp
462,019 sh
-31,444 sh
-6%
$49,917
-$25,336
CoStar Group Inc.
1,227,391 sh
-225,155 sh
-16%
$49,513
-$48,156
Watsco Inc
131,738 sh
62,328 sh
90%
$47,925
$24,537
Glaukos Corp
433,228 sh
-101,941 sh
-19%
$46,641
-$13,785
IDEXX Laboratories Inc.
82,524 sh
-7,175 sh
-8%
$46,370
-$14,314
Tesla Inc
121,640 sh
-11,299 sh
-8%
$45,220
-$14,565
Netflix Inc
463,583 sh
-40,487 sh
-8%
$44,574
-$2,688
Visa Inc
141,665 sh
-11,248 sh
-7%
$42,817
-$10,811
Danaher Corp
222,825 sh
-17,781 sh
-7%
$42,248
-$12,832
LINDE PLC
80,779 sh
71,122 sh
736%
$40,047
$35,929
Workiva Inc
651,243 sh
-502,184 sh
-44%
$38,834
-$60,649
Cintas Corp
229,158 sh
16,437 sh
8%
$38,760
-$1,246
Starbucks Corp
427,880 sh
-23,597 sh
-5%
$38,334
$315
Cognex Corp
715,343 sh
-151,720 sh
-17%
$35,045
$3,848
Exponent Inc
533,119 sh
-21,074 sh
-4%
$34,786
-$3,708
Guidewire Software Inc
229,512 sh
-19,363 sh
-8%
$34,326
-$15,700
Floor & Decor Holdings Inc.
655,411 sh
-41,083 sh
-6%
$33,295
-$9,115
DESCARTES SYS GROUP INC COM
451,422 sh
-82,923 sh
-16%
$32,304
-$14,537
UnitedHealth Group Inc
118,359 sh
-5,572 sh
-4%
$32,027
-$8,884
Bio-Techne Corp.
608,916 sh
-176,872 sh
-23%
$31,822
-$14,390
GLOBANT S A COM
687,811 sh
-80,963 sh
-11%
$31,715
-$18,540
Simpson Manufacturing Co. Inc.
180,977 sh
-43,159 sh
-19%
$31,059
-$5,132
Salesforce.com Inc
165,259 sh
-13,185 sh
-7%
$30,849
-$16,423
Repligen Corp
258,476 sh
-54,889 sh
-18%
$30,454
-$20,894
CSW Industrials Inc.
115,651 sh
-14,761 sh
-11%
$30,136
-$8,144
Motorola Solutions Inc
67,278 sh
-4,957 sh
-7%
$29,197
$1,508
Fair Isaac Corp
26,901 sh
-2,999 sh
-10%
$28,718
-$21,831
CCC Intelligent Solutions Holdings Inc.
4,481,084 sh
-639,396 sh
-12%
$26,887
-$13,821
Option Care Health Inc
984,360 sh
-278,193 sh
-22%
$26,499
-$13,726
Dutch Bros Inc.
511,403 sh
206,297 sh
68%
$25,908
$7,229
Alarm.com Holdings Inc.
592,854 sh
-130,507 sh
-18%
$25,605
-$11,301
Aaon Inc
302,369 sh
-52,001 sh
-15%
$25,021
-$2,000
Entegris Inc
213,335 sh
-131,618 sh
-38%
$25,011
-$4,051
SAP SE SPON ADR
138,939 sh
4,448 sh
3%
$23,788
-$8,881
Transcat Inc
310,476 sh
-27,029 sh
-8%
$22,804
$3,657
SPS Commerce Inc.
407,385 sh
-73,439 sh
-15%
$22,679
-$20,177
First Watch Restaurant Group Inc.
2,091,700 sh
995,671 sh
91%
$21,921
$5,393
RIVERBRIDGE GROWTH FUND - INST COM
841,027 sh
8,524 sh
1%
$21,354
-$2,830
Pennant Group Inc
661,051 sh
-43,484 sh
-6%
$20,149
$316
Synopsys Inc
49,118 sh
8,431 sh
21%
$19,474
$362
Chemed Corp
50,747 sh
-3,372 sh
-6%
$19,169
-$3,986
Agilisys Inc
256,054 sh
-76,103 sh
-23%
$18,216
-$21,258
Power Integrations Inc
336,068 sh
-21,526 sh
-6%
$17,207
$4,498
Hillman Solutions Corp. COM
2,054,588 sh
-111,414 sh
-5%
$17,094
-$1,664
LOAR HOLDINGS INC COM
258,416 sh
-18,633 sh
-7%
$14,805
-$4,034
Appfolio Inc
88,112 sh
88,112 sh
NEW
$13,906
$13,906
Casella Waste Systems Inc
173,205 sh
173,205 sh
NEW
$13,742
$13,742
DoubleVerify Holdings Inc.
1,442,814 sh
-218,881 sh
-13%
$13,707
-$5,303
Casey's General Stores Inc.
17,612 sh
-11,449 sh
-39%
$12,819
-$3,243
Toast Inc.
459,807 sh
-295,245 sh
-39%
$12,189
-$14,623
WillScot Mobile Mini Holdings Corp.
669,142 sh
-47,080 sh
-7%
$11,616
-$1,870
LeMaitre Vascular Inc.
105,599 sh
105,599 sh
NEW
$11,528
$11,528
Doximity Inc.
489,742 sh
-38,836 sh
-7%
$11,411
-$11,994
ACV Auctions Inc.
2,687,459 sh
-434,573 sh
-14%
$11,395
-$13,644
RBC Bearings Inc
20,386 sh
20,386 sh
NEW
$11,072
$11,072
Charles River Laboratories International Inc.
63,788 sh
-35,540 sh
-36%
$11,003
-$8,811
Alkami Technology Inc.
688,980 sh
-1,096,118 sh
-61%
$10,796
-$30,386
ISHARES TR CORE S&P500 ETF
16,347 sh
-68,577 sh
-81%
$10,678
-$47,490
GoDaddy Inc
125,308 sh
-73,512 sh
-37%
$10,359
-$14,311
TWFG INC COM CL A
549,614 sh
-44,130 sh
-7%
$10,107
-$6,975
Jack Henry & Associates Inc.
63,045 sh
-26,740 sh
-30%
$9,964
-$6,420
STEVANATO GROUP S P A ORD SHS
673,148 sh
-42,011 sh
-6%
$9,256
-$5,133
Goosehead Insurance Inc
195,817 sh
-14,575 sh
-7%
$8,354
-$7,141
Barrett Business Services Inc
284,277 sh
-11,266 sh
-4%
$8,295
-$2,407
Align Technology Inc
47,918 sh
-25,379 sh
-35%
$8,215
-$3,230
Grid Dynamics Holdings Inc.
1,427,409 sh
-318,558 sh
-18%
$8,136
-$7,630
Apple Inc
31,869 sh
26 sh
0%
$8,088
-$569
VANGUARD INDEX FDS EXTEND MKT ETF
23,627 sh
-28,924 sh
-55%
$4,862
-$6,127
Inspire Medical Systems Inc
92,494 sh
-4,617 sh
-5%
$4,771
-$4,186
VANGUARD INDEX FDS COM
7,184 sh
-1 sh
0%
$4,328
-$212
OrthoPediatrics Corp.
263,439 sh
-4,826 sh
-2%
$4,181
-$583
TJX Cos. Inc.
23,653 sh
83 sh
0%
$3,777
$156
Ecolab Inc
13,364 sh
100 sh
1%
$3,555
$73
ISHARES TR RUS 2000 GRW ETF
11,144 sh
-4,432 sh
-28%
$3,497
-$1,534
BROOKFIELD REAL ASSETS INCOM SHS BEN INT
239,842 sh
18,535 sh
8%
$3,084
$216
Snap-on Inc.
8,413 sh
16 sh
0%
$3,056
$162
ANGEL OAK FINL STRATEGIES IN COM BEN INT
233,477 sh
17,967 sh
8%
$2,977
$130
Rivernorth Flexible Municipal Incm Fd II COM
225,057 sh
15,846 sh
8%
$2,847
$198
SIXTH STREET SPECIALTY LENDING COMMON STOCK
143,704 sh
53,766 sh
60%
$2,641
$688
PGIM SHORT DUR HIG YLD OPP F COM
162,514 sh
10,922 sh
7%
$2,603
$109
Johnson & Johnson
10,035 sh
21 sh
0%
$2,453
$381
Rockwell Automation Inc
6,785 sh
16 sh
0%
$2,435
-$199
Walmart Inc
19,451 sh
-13,684 sh
-41%
$2,417
-$1,275
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS
7,086 sh
-4,657 sh
-40%
$2,395
-$1,174
ASML HOLDING N V N Y REGISTRY SHS
1,781 sh
-1,201 sh
-40%
$2,352
-$838
BNY MELLON STRATEGIC MUNS IN COM
358,313 sh
36,496 sh
11%
$2,254
$207
PUTNAM PREMIER INCOME TR SH BEN INT
633,159 sh
23,733 sh
4%
$2,248
$91
NUVEEN TAXABLE MUNICPL INCM COM
140,892 sh
6,047 sh
4%
$2,206
$75
HANCOCK JOHN INCOME SECS TR COM
200,843 sh
7,788 sh
4%
$2,197
-$64
Equifax Inc
11,617 sh
145 sh
1%
$2,092
-$397
Procter & Gamble Co.
14,393 sh
66 sh
0%
$2,079
$26
WESTERN AST INFL LKD OPP & I COM
244,874 sh
9,244 sh
4%
$2,072
$48
ARES CAP CORP COM
110,366 sh
8,515 sh
8%
$1,989
-$71
Seven Hills Realty Trust COM
241,581 sh
17,170 sh
8%
$1,986
-$11
FS Specialty Lending Fund CEF
158,283 sh
11,860 sh
8%
$1,980
-$90
Oracle Corp
13,378 sh
656 sh
5%
$1,968
-$512
FS GLOBAL CR OPPORTUNITIE FDA LP
385,289 sh
174,445 sh
83%
$1,965
$637
PRINCIPAL REAL ESTATE INCOME SHS BEN INT
202,268 sh
15,064 sh
8%
$1,944
$70
DELAWARE INVT NAT MUNI INC F SH BEN INT
194,085 sh
18,933 sh
11%
$1,933
$134
FIDUS INVT CORP COM
109,885 sh
8,307 sh
8%
$1,914
-$46
BLACKROCK TAX MUNICPAL BD TR SHS
117,511 sh
60,739 sh
107%
$1,900
$973
RIVERNORTH DOUBLELINE STRATE COM
237,095 sh
12,989 sh
6%
$1,819
$37
Costco Wholesale Corp
1,767 sh
1,767 sh
NEW
$1,761
$1,761
Abbott Laboratories
16,987 sh
6,459 sh
61%
$1,744
$425
Zoetis Inc
14,257 sh
14,257 sh
NEW
$1,685
$1,685
ALLIANCEBERNSTEIN NATL MUNI COM
155,029 sh
16,144 sh
12%
$1,657
$154
ISHARES TR MSCI EAFE ETF
16,714 sh
67 sh
0%
$1,623
$24
Angel Oak Mortgage Inc. COM
197,392 sh
14,622 sh
8%
$1,623
$49
Tractor Supply Co.
35,703 sh
388 sh
1%
$1,617
-$149
Dick's Sporting Goods Inc.
8,032 sh
2,135 sh
36%
$1,593
$426
FEDERATED PREM MUN INC FD COM
140,894 sh
15,195 sh
12%
$1,540
$143
PIMCO NEW YORK MUN FD II COM
223,261 sh
20,682 sh
10%
$1,529
$133
FIDELITY TR 500 INDEX INS PREM MF
6,468 sh
 
$1,471
Paychex Inc
15,276 sh
188 sh
1%
$1,407
-$286
PIMCO CA MUNICIPAL INCOME FD COM
161,861 sh
15,744 sh
11%
$1,389
$113
MSC INCOME FUND INC COM
113,574 sh
7,861 sh
7%
$1,383
-$6
VANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETF
25,027 sh
120 sh
0%
$1,353
$14
GOLUB CAP BDC INC COM
106,309 sh
7,780 sh
8%
$1,346
$9
HERCULES CAPITAL INC COM
90,672 sh
90,672 sh
NEW
$1,339
$1,339
BLACKROCK MUNIHOLDINGS FD IN COM
115,874 sh
57,999 sh
100%
$1,307
$628
TCW STRATEGIC INCOME FUND IN COM
290,073 sh
81,081 sh
39%
$1,302
$270
MFS CHARTER INCOME TR SH BEN INT
207,236 sh
13,900 sh
7%
$1,256
$44
Crescent Capital BDC Inc COM
102,056 sh
7,698 sh
8%
$1,240
-$86
Blackrock Income Trust CEF
108,500 sh
3,938 sh
4%
$1,147
-$7
SPDR S&P 500 ETF TR TR UNIT
1,694 sh
1,694 sh
NEW
$1,102
$1,102
MFS MUN INCOME TR SH BEN INT
181,261 sh
17,534 sh
11%
$977
$88
BNY MELLON MUN BD INFRASTRUC COM SHS
83,758 sh
-201,155 sh
-71%
$883
-$2,248
NEUBERGER BERMAN MUNI FD INC COM
78,119 sh
11,871 sh
18%
$793
$123
PUTNAM MUN OPPORTUNITIES TR SH BEN INT
76,842 sh
-41,388 sh
-35%
$791
-$474
BLACKROCK MUNIYIELD QLTY FD COM
73,672 sh
73,672 sh
NEW
$774
$774
Accenture Plc
3,589 sh
1,474 sh
70%
$712
$145
ISHARES TR RUS 1000 ETF
1,980 sh
 
$706
HANCOCK JOHN INVS TR COM
47,763 sh
1,855 sh
4%
$617
-$11
BLACKROCK CORPOR HI YLD FD I COM
69,422 sh
69,422 sh
NEW
$591
$591
ISHARES TR RUSSELL 2000 ETF
2,193 sh
-94,902 sh
-98%
$544
-$23,357
DIMENSIONAL ETF TRUST INTL CORE EQUITY
14,944 sh
14,944 sh
NEW
$531
$531
Workday Inc
3,994 sh
 
$519
VANGUARD INDEX FDS REAL ESTATE ETF
5,791 sh
 
$514
INVESCO BD FD COM
31,835 sh
1,198 sh
4%
$478
$6
Paycom Software Inc
3,348 sh
-353,862 sh
-99%
$407
-$56,518
Stryker Corp
1,200 sh
 
$394
MFS HIGH INCOME MUN TR SH BEN INT
101,715 sh
15,429 sh
18%
$377
$58
WESTERN ASSET INTM MUNI FD I COM
48,234 sh
7,363 sh
18%
$370
$56
DBS GROUP HOLDINGS LTD ADR COM
2,044 sh
 
$366
ISHARES TR RUS 1000 GRW ETF
846 sh
63 sh
8%
$361
-$9
ROCHE HOLDING AG ADR COM
7,047 sh
 
$350
ISHARES TR CORE S&P US GWT
2,248 sh
-1,412 sh
-39%
$349
-$266
VANGUARD INDEX FDS GROWTH ETF
768 sh
768 sh
NEW
$335
$335
BLACKROCK MULTI-SECTOR INC T COM
26,326 sh
-22,344 sh
-46%
$330
-$306
SHELL ADR EACH REP 2 ORD WI SPONSORED ADR
3,278 sh
 
$305
ALLIANZ SE ADR
6,903 sh
 
$290
TENCENT HOLDINGS LTD. ADR COM
4,231 sh
 
$267
FOMENTO ECONOMICO MEXICANO S SPON ADR UNITS
2,321 sh
 
$258
AIA GROUP LTD. ADR COM
5,764 sh
 
$257
VANGUARD INDEX FDS TOTAL STK MKT
786 sh
-533 sh
-40%
$252
-$190
SCHNEIDER ELECTRIC SE COM
4,526 sh
 
$246
VANGUARD INDEX FDS VALUE ETF
1,219 sh
1,219 sh
NEW
$239
$239
LASERTEC CORP ADS
5,425 sh
 
$237
DISCO CORP-UNSPONSORED ADR ADR
5,520 sh
-2,438 sh
-31%
$224
-$18
BAE SYSTEMS PLC COM
1,897 sh
1,897 sh
NEW
$221
$221
CHUGAI PHARMACEUTICAL CO LTD ADR COM
7,825 sh
 
$215
RIO TINTO PLC SPONSORED ADR
2,284 sh
2,284 sh
NEW
$213
$213
Contemporary Amperex Technolog COM
10,392 sh
 
$208
HALEON PLC SPON ADS COM
17,477 sh
 
$175
OBIC CO LTD F ADR
11,452 sh
11,452 sh
NEW
$140
$140
M3 INC COM
22,202 sh
22,202 sh
NEW
$113
$113
UNICHARM CORP COM
21,761 sh
21,761 sh
NEW
$63
$63
Clearwater Analytics Holdings Inc.
0 sh
-1,298,714 sh
-100%
$0
-$31,325
Blackline Inc
0 sh
-372,814 sh
-100%
$0
-$20,613
Trade Desk Inc
0 sh
-223,103 sh
-100%
$0
-$8,469
Phreesia Inc
0 sh
-459,047 sh
-100%
$0
-$7,767
VANGUARD INDEX FDS S&P 500 ETF SHS
0 sh
-7,255 sh
-100%
$0
-$4,550
BNY MELLON STRATEGIC MUN BD COM
0 sh
-237,540 sh
-100%
$0
-$1,466
VANGUARD STAR FD VG TL INTL STK F
0 sh
-16,692 sh
-100%
$0
-$1,259
ISHARES TR MSCI USA ESG SLC
0 sh
-8,260 sh
-100%
$0
-$1,151
BLACKROCK MUNIHLDNGS QLTY II COM
0 sh
-47,303 sh
-100%
$0
-$474
BLACKROCK MUNIVEST FD II INC COM
0 sh
-38,068 sh
-100%
$0
-$412
BLACKROCK MUNIVEST FD INC COM
0 sh
-39,648 sh
-100%
$0
-$275
HDFC BANK LTD SPONSORED ADS
0 sh
-7,156 sh
-100%
$0
-$261
Fiserv Inc
0 sh
-3,080 sh
-100%
$0
-$207
Intuitive Surgical Inc
0 sh
-360 sh
-100%
$0
-$204