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Riverbridge Partners 13F filings

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

Holdings as of 2025-12-31

Filed on 2026-01-13 under CIK 1112325

Company
Investment Type
Change
Value (x$1000)
increase or decrease
NVIDIA Corp.
1,526,980 sh
-197,851 sh
-11%
$284,782
-$37,037
Microsoft Corp
493,162 sh
-23,020 sh
-4%
$238,503
-$28,853
HEICO Corp.
589,525 sh
-63,680 sh
-10%
$190,764
-$20,104
RB GLOBAL INC COM
1,501,366 sh
-161,397 sh
-10%
$154,445
-$25,732
Five Below Inc
814,643 sh
-144,505 sh
-15%
$153,446
$5,066
Medpace Holdings Inc
272,969 sh
-92,119 sh
-25%
$153,313
-$34,401
Grand Canyon Education Inc
853,107 sh
-99,959 sh
-10%
$141,880
-$67,337
Amazon.com Inc
607,766 sh
-24,592 sh
-4%
$140,285
$1,438
Ensign Group Inc
696,510 sh
-66,622 sh
-9%
$121,332
-$10,514
Privia Health Group Inc.
4,583,590 sh
-50,277 sh
-1%
$108,677
-$6,706
Tyler Technologies Inc
238,740 sh
-29,887 sh
-11%
$108,376
-$32,159
Kinsale Capital Group Inc
268,453 sh
-22,071 sh
-8%
$104,997
-$18,551
Analog Devices Inc
374,366 sh
-14,148 sh
-4%
$101,528
$6,070
Workiva Inc
1,153,427 sh
-137,443 sh
-11%
$99,483
-$11,635
CoStar Group Inc.
1,452,546 sh
-206,637 sh
-12%
$97,669
-$42,316
Fastenal Co.
2,381,560 sh
-125,690 sh
-5%
$95,572
-$27,384
Alphabet Inc
301,580 sh
-6,760 sh
-2%
$94,395
$19,438
Rollins Inc
1,545,713 sh
-456,135 sh
-23%
$92,774
-$24,815
West Pharmaceutical Services Inc
318,613 sh
-43,927 sh
-12%
$87,663
-$7,442
S&P Global Inc.
154,991 sh
-6,479 sh
-4%
$80,997
$2,408
Paylocity Holding Corp
493,463 sh
-82,299 sh
-14%
$75,253
-$16,449
Veeva Systems Inc
330,143 sh
-18,928 sh
-5%
$73,698
-$30,294
Verisk Analytics Inc
328,826 sh
18,551 sh
6%
$73,555
-$4,482
ServiceNow Inc
473,842 sh
374,813 sh
378%
$72,588
-$18,546
Alphabet Inc
230,863 sh
-11,342 sh
-5%
$72,445
$13,456
Freshpet Inc
1,003,710 sh
-153,579 sh
-13%
$61,156
-$2,622
IDEXX Laboratories Inc.
89,699 sh
-5,734 sh
-6%
$60,684
-$287
Glaukos Corp
535,169 sh
-34,475 sh
-6%
$60,426
$13,972
Tesla Inc
132,939 sh
-55,259 sh
-29%
$59,785
-$23,910
ISHARES TR CORE S&P500 ETF
84,924 sh
78,407 sh
1203%
$58,168
$53,806
Paycom Software Inc
357,210 sh
-87,554 sh
-20%
$56,925
-$35,648
Danaher Corp
240,606 sh
-9,641 sh
-4%
$55,080
$5,466
Visa Inc
152,913 sh
-6,401 sh
-4%
$53,628
-$759
Repligen Corp
313,365 sh
-30,070 sh
-9%
$51,348
$5,441
Fair Isaac Corp
29,900 sh
12,627 sh
73%
$50,549
$24,700
GLOBANT S A COM
768,774 sh
-122,815 sh
-14%
$50,255
-$904
Kadant Inc
175,864 sh
-22,519 sh
-11%
$50,125
-$8,910
Guidewire Software Inc
248,875 sh
-34,645 sh
-12%
$50,026
-$15,144
Salesforce.com Inc
178,444 sh
-7,324 sh
-4%
$47,272
$3,245
Netflix Inc
504,070 sh
451,500 sh
859%
$47,262
-$15,765
DESCARTES SYS GROUP INC COM
534,345 sh
-54,400 sh
-9%
$46,841
-$8,636
Bio-Techne Corp.
785,788 sh
-120,654 sh
-13%
$46,212
-$4,213
SPS Commerce Inc.
480,824 sh
9,599 sh
2%
$42,856
-$6,217
Floor & Decor Holdings Inc.
696,494 sh
-217,543 sh
-24%
$42,410
-$24,955
Alkami Technology Inc.
1,785,098 sh
-465,587 sh
-21%
$41,182
-$14,725
UnitedHealth Group Inc
123,931 sh
-8,652 sh
-7%
$40,911
-$4,870
CCC Intelligent Solutions Holdings Inc.
5,120,480 sh
-1,070,336 sh
-17%
$40,708
-$15,690
Option Care Health Inc
1,262,553 sh
-184,403 sh
-13%
$40,225
$57
Cintas Corp
212,721 sh
19,463 sh
10%
$40,006
$338
Agilisys Inc
332,157 sh
-44,934 sh
-12%
$39,474
-$215
Exponent Inc
554,193 sh
71,178 sh
15%
$38,494
$4,934
CSW Industrials Inc.
130,412 sh
-13,796 sh
-10%
$38,280
$3,274
Starbucks Corp
451,477 sh
-22,075 sh
-5%
$38,019
-$2,044
Alarm.com Holdings Inc.
723,361 sh
-92,079 sh
-11%
$36,906
-$6,378
Simpson Manufacturing Co. Inc.
224,136 sh
-37,841 sh
-14%
$36,191
-$7,680
SAP SE SPON ADR
134,491 sh
133,591 sh
14843%
$32,669
$32,429
Clearwater Analytics Holdings Inc.
1,298,714 sh
-169,426 sh
-12%
$31,325
$4,869
Cognex Corp
867,063 sh
-145,594 sh
-14%
$31,197
-$14,676
Entegris Inc
344,953 sh
-98,579 sh
-22%
$29,062
-$11,947
Motorola Solutions Inc
72,235 sh
-5,050 sh
-7%
$27,689
-$7,653
Aaon Inc
354,370 sh
130,186 sh
58%
$27,021
$6,073
Toast Inc.
755,052 sh
-207,700 sh
-22%
$26,812
-$8,338
ACV Auctions Inc.
3,122,032 sh
-445,402 sh
-12%
$25,039
-$10,314
GoDaddy Inc
198,820 sh
-54,551 sh
-22%
$24,670
-$9,999
RIVERBRIDGE GROWTH FUND - INST COM
832,503 sh
171,058 sh
26%
$24,184
-$872
ISHARES TR RUSSELL 2000 ETF
97,095 sh
93,540 sh
2631%
$23,901
$23,041
Doximity Inc.
528,578 sh
-26,606 sh
-5%
$23,405
-$17,207
Watsco Inc
69,410 sh
-16,939 sh
-20%
$23,388
-$11,523
Chemed Corp
54,119 sh
-2,856 sh
-5%
$23,155
-$2,355
Blackline Inc
372,814 sh
-347,803 sh
-48%
$20,613
-$17,652
Pennant Group Inc
704,535 sh
-37,519 sh
-5%
$19,833
$1,118
Charles River Laboratories International Inc.
99,328 sh
-25,976 sh
-21%
$19,814
$209
Transcat Inc
337,505 sh
-69,708 sh
-17%
$19,147
-$10,661
Synopsys Inc
40,687 sh
-13,394 sh
-25%
$19,112
-$7,571
DoubleVerify Holdings Inc.
1,661,695 sh
-382,493 sh
-19%
$19,010
-$5,479
LOAR HOLDINGS INC COM
277,049 sh
277,049 sh
NEW
$18,839
$18,839
Hillman Solutions Corp. COM
2,166,002 sh
-153,132 sh
-7%
$18,758
-$2,532
Dutch Bros Inc.
305,106 sh
-77,751 sh
-20%
$18,679
-$1,360
TWFG INC COM CL A
593,744 sh
51,083 sh
9%
$17,082
$2,191
First Watch Restaurant Group Inc.
1,096,029 sh
-92,505 sh
-8%
$16,528
-$2,061
Jack Henry & Associates Inc.
89,785 sh
-20,119 sh
-18%
$16,384
$16
Casey's General Stores Inc.
29,061 sh
-8,088 sh
-22%
$16,062
-$4,939
Grid Dynamics Holdings Inc.
1,745,967 sh
-260,839 sh
-13%
$15,766
$294
Goosehead Insurance Inc
210,392 sh
-10,191 sh
-5%
$15,495
-$921
STEVANATO GROUP S P A ORD SHS
715,159 sh
-58,017 sh
-8%
$14,389
-$5,520
WillScot Mobile Mini Holdings Corp.
716,222 sh
-33,746 sh
-4%
$13,486
-$2,346
Power Integrations Inc
357,594 sh
-19,518 sh
-5%
$12,709
-$2,455
Align Technology Inc
73,297 sh
-119,935 sh
-62%
$11,445
-$12,751
VANGUARD INDEX FDS EXTEND MKT ETF
52,551 sh
10,560 sh
25%
$10,989
$2,199
Barrett Business Services Inc
295,543 sh
-30,641 sh
-9%
$10,702
-$3,754
Inspire Medical Systems Inc
97,111 sh
-6,460 sh
-6%
$8,957
$1,272
Apple Inc
31,843 sh
-164 sh
-1%
$8,657
$507
Trade Desk Inc
223,103 sh
-94,703 sh
-30%
$8,469
-$7,107
Phreesia Inc
459,047 sh
-46,321 sh
-9%
$7,767
-$4,119
ISHARES TR RUS 2000 GRW ETF
15,576 sh
6,250 sh
67%
$5,031
$2,046
OrthoPediatrics Corp.
268,265 sh
-25,599 sh
-9%
$4,764
-$681
VANGUARD INDEX FDS S&P 500 ETF SHS
7,255 sh
7,255 sh
NEW
$4,550
$4,550
VANGUARD INDEX FDS COM
7,185 sh
-3 sh
0%
$4,540
$103
LINDE PLC
9,657 sh
-654 sh
-6%
$4,118
-$780
Walmart Inc
33,135 sh
-190 sh
-1%
$3,692
$258
TJX Cos. Inc.
23,570 sh
-10,499 sh
-31%
$3,621
-$1,303
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS
11,743 sh
-132 sh
-1%
$3,569
$252
Ecolab Inc
13,264 sh
-47 sh
0%
$3,482
-$163
ASML HOLDING N V N Y REGISTRY SHS
2,982 sh
45 sh
2%
$3,190
$347
BNY MELLON MUN BD INFRASTRUC COM SHS
284,913 sh
112,566 sh
65%
$3,131
$1,287
Snap-on Inc.
8,397 sh
-47 sh
-1%
$2,894
-$32
BROOKFIELD REAL ASSETS INCOM SHS BEN INT
221,307 sh
93,313 sh
73%
$2,868
$1,158
ANGEL OAK FINL STRATEGIES IN COM BEN INT
215,510 sh
90,756 sh
73%
$2,847
$1,211
Rivernorth Flexible Municipal Incm Fd II COM
209,211 sh
95,245 sh
84%
$2,649
$1,162
Rockwell Automation Inc
6,769 sh
-37 sh
-1%
$2,634
$255
PGIM SHORT DUR HIG YLD OPP F COM
151,592 sh
71,407 sh
89%
$2,494
$1,153
Equifax Inc
11,472 sh
-2,683 sh
-19%
$2,489
-$1,142
Oracle Corp
12,722 sh
-1,420 sh
-10%
$2,480
-$1,497
HANCOCK JOHN INCOME SECS TR COM
193,055 sh
118,311 sh
158%
$2,261
$1,388
PUTNAM PREMIER INCOME TR SH BEN INT
609,426 sh
372,890 sh
158%
$2,157
$1,284
NUVEEN TAXABLE MUNICPL INCM COM
134,845 sh
82,393 sh
157%
$2,131
$1,280
Johnson & Johnson
10,014 sh
-375 sh
-4%
$2,072
$146
FS Specialty Lending Fund CEF
146,423 sh
146,423 sh
NEW
$2,070
$2,070
ARES CAP CORP COM
101,851 sh
42,951 sh
73%
$2,060
$858
Procter & Gamble Co.
14,327 sh
-485 sh
-3%
$2,053
-$223
BNY MELLON STRATEGIC MUNS IN COM
321,817 sh
92,566 sh
40%
$2,047
$614
WESTERN AST INFL LKD OPP & I COM
235,630 sh
144,223 sh
158%
$2,024
$1,211
Seven Hills Realty Trust COM
224,411 sh
138,756 sh
162%
$1,997
$1,114
FIDUS INVT CORP COM
101,578 sh
43,098 sh
74%
$1,960
$775
SIXTH STREET SPECIALTY LENDING COMMON STOCK
89,938 sh
39,919 sh
80%
$1,953
$810
PRINCIPAL REAL ESTATE INCOME SHS BEN INT
187,204 sh
42,232 sh
29%
$1,874
$358
DELAWARE INVT NAT MUNI INC F SH BEN INT
175,152 sh
53,785 sh
44%
$1,799
$554
RIVERNORTH DOUBLELINE STRATE COM
224,106 sh
162,298 sh
263%
$1,782
$1,255
Tractor Supply Co.
35,315 sh
-121 sh
0%
$1,766
-$249
Paychex Inc
15,088 sh
-220 sh
-1%
$1,693
-$247
ISHARES TR MSCI EAFE ETF
16,647 sh
 
$1,599
Angel Oak Mortgage Inc. COM
182,770 sh
99,811 sh
120%
$1,574
$797
FIDELITY TR 500 INDEX INS PREM MF
6,468 sh
 
$1,537
ALLIANCEBERNSTEIN NATL MUNI COM
138,885 sh
37,893 sh
38%
$1,503
$407
BNY MELLON STRATEGIC MUN BD COM
237,540 sh
72,954 sh
44%
$1,466
$492
FEDERATED PREM MUN INC FD COM
125,699 sh
32,478 sh
35%
$1,397
$368
PIMCO NEW YORK MUN FD II COM
202,579 sh
67,586 sh
50%
$1,396
$458
MSC INCOME FUND INC COM
105,713 sh
54,316 sh
106%
$1,389
$714
VANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETF
24,907 sh
-183 sh
-1%
$1,339
-$20
GOLUB CAP BDC INC COM
98,529 sh
51,640 sh
110%
$1,337
$695
FS GLOBAL CR OPPORTUNITIE FDA LP
210,844 sh
210,844 sh
NEW
$1,328
$1,328
Crescent Capital BDC Inc COM
94,358 sh
94,358 sh
NEW
$1,326
$1,326
Abbott Laboratories
10,528 sh
-2,898 sh
-22%
$1,319
-$479
PIMCO CA MUNICIPAL INCOME FD COM
146,117 sh
45,269 sh
45%
$1,276
$397
PUTNAM MUN OPPORTUNITIES TR SH BEN INT
118,230 sh
41,190 sh
53%
$1,265
$469
VANGUARD STAR FD VG TL INTL STK F
16,692 sh
16,692 sh
NEW
$1,259
$1,259
MFS CHARTER INCOME TR SH BEN INT
193,336 sh
91,541 sh
90%
$1,212
$558
Dick's Sporting Goods Inc.
5,897 sh
5,897 sh
NEW
$1,167
$1,167
Blackrock Income Trust CEF
104,562 sh
104,562 sh
NEW
$1,154
$1,154
ISHARES TR MSCI USA ESG SLC
8,260 sh
8,260 sh
NEW
$1,151
$1,151
TCW STRATEGIC INCOME FUND IN COM
208,992 sh
34,639 sh
20%
$1,032
$174
BLACKROCK TAX MUNICPAL BD TR SHS
56,772 sh
5,889 sh
12%
$927
$82
MFS MUN INCOME TR SH BEN INT
163,727 sh
52,043 sh
47%
$889
$287
Workday Inc
3,994 sh
-2,088 sh
-34%
$858
-$606
ISHARES TR RUS 1000 ETF
1,980 sh
 
$739
BLACKROCK MUNIHOLDINGS FD IN COM
57,875 sh
-220 sh
0%
$679
-$4
NEUBERGER BERMAN MUNI FD INC COM
66,248 sh
-258 sh
0%
$670
-$16
BLACKROCK MULTI-SECTOR INC T COM
48,670 sh
-8,946 sh
-16%
$636
-$135
HANCOCK JOHN INVS TR COM
45,908 sh
12,270 sh
36%
$628
$157
ISHARES TR CORE S&P US GWT
3,660 sh
1,388 sh
61%
$615
$241
Accenture Plc
2,115 sh
-1,864 sh
-47%
$567
-$414
VANGUARD INDEX FDS REAL ESTATE ETF
5,791 sh
 
$512
BLACKROCK MUNIHLDNGS QLTY II COM
47,303 sh
-196 sh
0%
$474
-$4
INVESCO BD FD COM
30,637 sh
18,764 sh
158%
$472
$285
VANGUARD INDEX FDS TOTAL STK MKT
1,319 sh
504 sh
62%
$442
$175
Stryker Corp
1,200 sh
 
$422
BLACKROCK MUNIVEST FD II INC COM
38,068 sh
-159 sh
0%
$412
$6
ISHARES TR RUS 1000 GRW ETF
783 sh
783 sh
NEW
$370
$370
ROCHE HOLDING AG ADR COM
7,047 sh
-1,110 sh
-14%
$363
$22
DBS GROUP HOLDINGS LTD ADR COM
2,044 sh
 
$359
TENCENT HOLDINGS LTD. ADR COM
4,231 sh
1,467 sh
53%
$324
$89
MFS HIGH INCOME MUN TR SH BEN INT
86,286 sh
-359 sh
0%
$319
-$3
ALLIANZ SE ADR
6,903 sh
-68 sh
-1%
$318
$25
WESTERN ASSET INTM MUNI FD I COM
40,871 sh
-162 sh
0%
$314
-$11
BLACKROCK MUNIVEST FD INC COM
39,648 sh
-93 sh
0%
$275
$2
HDFC BANK LTD SPONSORED ADS
7,156 sh
 
$261
SCHNEIDER ELECTRIC SE COM
4,526 sh
4,526 sh
NEW
$249
$249
DISCO CORP-UNSPONSORED ADR ADR
7,958 sh
337 sh
4%
$242
$3
SHELL ADR EACH REP 2 ORD WI SPONSORED ADR
3,278 sh
 
$241
AIA GROUP LTD. ADR COM
5,764 sh
 
$236
FOMENTO ECONOMICO MEXICANO S SPON ADR UNITS
2,321 sh
2,321 sh
NEW
$235
$235
Advanced Micro Devices Inc
1,034 sh
1,034 sh
NEW
$221
$221
Fiserv Inc
3,080 sh
 
$207
CHUGAI PHARMACEUTICAL CO LTD ADR COM
7,825 sh
7,825 sh
NEW
$206
$206
LASERTEC CORP ADS
5,425 sh
5,425 sh
NEW
$206
$206
Intuitive Surgical Inc
360 sh
360 sh
NEW
$204
$204
HALEON PLC SPON ADS COM
17,477 sh
 
$177
Contemporary Amperex Technolog COM
10,392 sh
 
$168
KORNIT DIGITAL LTD SHS
0 sh
-1,197,445 sh
-100%
$0
-$16,166
Jamf Holding Corp.
0 sh
-1,099,637 sh
-100%
$0
-$11,766
Zscaler Inc
0 sh
-4,148 sh
-100%
$0
-$1,243
BLACKROCK MUN 2030 TAR TERM COM SHS BEN IN
0 sh
-40,929 sh
-100%
$0
-$919
Dollar General Corp
0 sh
-4,973 sh
-100%
$0
-$512
SYMBOTIC INC
0 sh
-9,219 sh
-100%
$0
-$497
BLACKROCK CR ALLCTN INC TR COM
0 sh
-43,627 sh
-100%
$0
-$482
WESTERN ASST MNGD MUN FD INC COM
0 sh
-41,109 sh
-100%
$0
-$425
INVESCO MUN TR COM
0 sh
-31,612 sh
-100%
$0
-$305
EATON VANCE LTD DUR INCOME F COM
0 sh
-24,878 sh
-100%
$0
-$253
L'OREAL SA ADR COM
0 sh
-2,383 sh
-100%
$0
-$206
SONY CORP SPONSORED ADR
0 sh
-7,075 sh
-100%
$0
-$204
M3 INC COM
0 sh
-10,998 sh
-100%
$0
-$92
UNICHARM CORP COM
0 sh
-22,103 sh
-100%
$0
-$71