UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F COVER PAGE
OMB APPROVAL
OMB Number:3235-0006
Expires:July 31, 2015
Estimated average burden
hours per response:23.8

Report for the Calendar Year or Quarter Ended:
06-30-2024
Check here if Amendment: Amendment Number:
This Amendment (Check only one.): is a restatement.
adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:
EAM Investors, LLC
Address:
215 Highway 101
Suite 216
Solana Beach, CA 92075
Form 13F File Number:

The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.


Person Signing this Report on Behalf of Reporting Manager:
Name:
Derek Gaertner
Title:
Chief Operating Officer
Phone:
760-479-5075


Signature, Place, and Date of Signing:

/s/ Derek Gaertner
                         [Signature]
Solana Beach, CALIFORNIA
                 [City, State]
08-12-2024
                           [Date]
                          

Report Type (Check only one.):

13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) 

13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) 

13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)


Form 13F Summary Page

Report Summary:

Number of Other Included Managers:
0
Form 13F Information table Entry Total:
241
Form 13F Information table Value Total:
615324178
          (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.
[If there are no entries in this list, state "NONE" and omit the column headings and list entries.]

  
NONE


UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE
OMB APPROVAL
OMB Number:3235-0006
Expires:July 31, 2015
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
Terawulf IncCommon Stock88080T1044,433,646996,325SHSOLE182,852 0 813,473
Geron CorpCommon Stock3741631033,155,705744,270SHSOLE136,352 0 607,918
BARK IncCommon Stock68622E104880,724486,588SHSOLE486,588 0 0
Denison Mines CorpCommon Stock248356107965,355485,103SHSOLE485,103 0 0
AvePoint IncCommon Stock0536041044,229,020405,856SHSOLE75,290 0 330,566
ADMA Biologics IncCommon Stock0008991044,192,243374,977SHSOLE69,532 0 305,445
Mesa Air Group IncCommon Stock590479135641,060374,889SHSOLE374,889 0 0
AST SpaceMobile IncCommon Stock00217D1004,203,517362,060SHSOLE66,439 0 295,621
WisdomTree IncCommon Stock97717P1043,583,664361,621SHSOLE66,603 0 295,018
Rush Street Interactive IncCommon Stock7820111003,418,269356,441SHSOLE65,747 0 290,694
Selectquote IncCommon Stock816307300817,092296,048SHSOLE296,048 0 0
Heron Therapeutics IncCommon Stock427746102959,266274,076SHSOLE273,819 0 257
Grindr IncCommon Stock39854F1013,325,253271,671SHSOLE50,003 0 221,668
Aveanna Healthcare Holdings IncCommon Stock05356F105730,296264,600SHSOLE264,600 0 0
Zeta Global Holdings CorpCommon Stock98956A1054,616,216261,542SHSOLE48,067 0 213,475
NuScale Power CorpCommon Stock67079K1002,986,503255,475SHSOLE47,053 0 208,422
RealReal Inc/TheCommon Stock88339P101751,893235,703SHSOLE235,703 0 0
Gannett Co IncCommon Stock36472T1091,081,566234,613SHSOLE234,613 0 0
Mama's Creations IncCommon Stock56146T1031,572,267233,274SHSOLE233,125 0 149
Bit Digital IncCommon StockG1144A105704,640221,585SHSOLE221,585 0 0
Paysign IncCommon Stock70451A104940,653218,249SHSOLE218,249 0 0
Mueller Water Products IncCommon Stock6247581083,874,465216,209SHSOLE39,679 0 176,530
Powerfleet Inc NJCommon Stock73931J109984,812215,495SHSOLE215,495 0 0
TTM Technologies IncCommon Stock87305R1094,104,393211,240SHSOLE38,788 0 172,452
SEMrush Holdings IncCommon Stock81686C1042,734,881204,248SHSOLE37,505 0 166,743
American Superconductor CorpCommon Stock0301112074,769,829203,926SHSOLE68,719 0 135,207
Enovix CorpCommon Stock2935941073,028,537195,895SHSOLE35,975 0 159,920
FTAI Infrastructure IncCommon Stock35953C1061,653,301191,576SHSOLE191,427 0 149
Blend Labs IncCommon Stock09352U108450,078190,711SHSOLE190,711 0 0
Arhaus IncCommon Stock04035M1023,180,282187,738SHSOLE34,511 0 153,227
Nuvation Bio IncCommon Stock67080N101533,998182,876SHSOLE182,674 0 202
Safe Bulkers IncCommon StockY7388L1031,061,812182,442SHSOLE182,442 0 0
Nurix Therapeutics IncCommon Stock67080M1033,632,987174,077SHSOLE31,983 0 142,094
Tutor Perini CorpCommon Stock9011091083,784,427173,757SHSOLE32,020 0 141,737
Laird Superfood IncCommon Stock50736T102965,280171,758SHSOLE171,758 0 0
Credo Technology Group Holding LtdCommon StockG254571055,383,168168,540SHSOLE30,503 0 138,037
Virtu Financial IncCommon Stock9282541013,655,444162,826SHSOLE29,468 0 133,358
CECO Environmental CorpCommon Stock1251411014,660,862161,555SHSOLE62,771 0 98,784
RXO IncCommon Stock74982T1034,200,370160,626SHSOLE29,464 0 131,162
Verra Mobility CorpCommon Stock92511U1024,294,418157,883SHSOLE28,556 0 129,327
Oscar Health IncCommon Stock6877931092,455,169155,194SHSOLE28,544 0 126,650
Hims & Hers Health IncCommon Stock4330001063,123,009154,681SHSOLE28,489 0 126,192
Rayonier Advanced Materials IncCommon Stock75508B104839,528154,325SHSOLE154,325 0 0
Sweetgreen IncCommon Stock87043Q1084,627,485153,533SHSOLE28,186 0 125,347
MDU Resources Group IncCommon Stock5526901093,815,551152,014SHSOLE27,510 0 124,504
Cargurus IncCommon Stock1417881093,953,266150,888SHSOLE27,688 0 123,200
Element Solutions IncCommon Stock28618M1064,074,238150,230SHSOLE27,192 0 123,038
Acacia Research CorpCommon Stock003881307749,100149,521SHSOLE149,521 0 0
Century Aluminum CoCommon Stock1564311082,425,333144,796SHSOLE26,603 0 118,193
Kyndryl Holdings IncCommon Stock50155Q1003,707,763140,926SHSOLE25,498 0 115,428
Slipstream Communications LLCCommon Stock22530J309658,711140,450SHSOLE140,450 0 0
Redwire CorpCommon Stock75776W103999,362139,381SHSOLE139,381 0 0
Cleanspark IncCommon Stock18452B2092,208,931138,491SHSOLE25,459 0 113,032
Hudbay Minerals IncCommon Stock4436281021,175,356129,911SHSOLE129,843 0 68
Rezolute IncCommon Stock76200L309558,389129,858SHSOLE129,858 0 0
Encore Energy CorpCommon Stock29259W700484,202122,894SHSOLE122,894 0 0
Sensus Healthcare IncCommon Stock81728J109613,344115,074SHSOLE115,074 0 0
VAALCO Energy IncCommon Stock91851C201718,423114,581SHSOLE114,469 0 112
Hannon Armstrong Sustainable InfrastructCommon Stock41068X1003,388,638114,481SHSOLE20,723 0 93,758
Veeco Instruments IncCommon Stock9224171005,209,006111,518SHSOLE20,453 0 91,065
Bioventus IncCommon Stock09075A108639,791111,268SHSOLE111,268 0 0
PACS Group IncCommon Stock69380Q1073,248,186110,108SHSOLE19,932 0 90,176
Insmed IncCommon Stock4576693077,221,327107,781SHSOLE19,505 0 88,276
Verint Systems IncCommon Stock92343X1003,459,632107,442SHSOLE19,715 0 87,727
Dyne Therapeutics IncCommon Stock26818M1083,784,853107,250SHSOLE19,852 0 87,398
Amkor Technology IncCommon Stock0316521004,258,688106,414SHSOLE19,254 0 87,160
Aspen Aerogels IncCommon Stock04523Y1052,504,107104,994SHSOLE19,319 0 85,675
CorMedix IncCommon Stock21900C308454,191104,894SHSOLE104,894 0 0
REVOLUTION Medicines IncCommon Stock76155X1003,920,703101,023SHSOLE18,282 0 82,741
Arteris IncCommon Stock04302A104757,016100,801SHSOLE100,801 0 0
Dutch Bros IncCommon Stock26701L1004,142,153100,052SHSOLE18,103 0 81,949
Gap Inc/TheCommon Stock3647601082,380,61599,649SHSOLE18,032 0 81,617
JBS S/ACommon Stock72147K1083,817,01599,169SHSOLE17,947 0 81,222
TechnipFMC PLCCommon StockG871101052,579,25398,633SHSOLE17,849 0 80,784
StepStone Group IncCommon Stock85914M1074,497,90898,015SHSOLE17,743 0 80,272
Alpha & Omega Semiconductor LtdCommon StockG6331P1043,606,54196,509SHSOLE17,780 0 78,729
American Industrial Partners LPCommon Stock7495271072,384,38795,797SHSOLE17,687 0 78,110
RxSight IncCommon Stock78349D1075,752,67395,607SHSOLE32,053 0 63,554
Lincoln Educational Services CorpCommon Stock5335351001,119,51394,394SHSOLE94,329 0 65
Avidity Biosciences IncCommon Stock05370A1083,702,44090,635SHSOLE16,750 0 73,885
Perpetua Resources CorpCommon Stock714266103457,52787,986SHSOLE87,986 0 0
Delcath Systems IncCommon Stock24661P807729,93187,208SHSOLE87,208 0 0
Gulf Island Fabrication IncCommon Stock402307102518,05085,346SHSOLE85,346 0 0
FormFactor IncCommon Stock3463751085,146,74585,028SHSOLE15,376 0 69,652
Idaho Strategic Resources IncCommon Stock645827205819,35683,099SHSOLE83,099 0 0
UL Solutions IncCommon Stock9037311073,458,98981,986SHSOLE14,838 0 67,148
Primoris Services CorpCommon Stock74164F1034,069,37881,567SHSOLE15,014 0 66,553
Vital Farms IncCommon Stock92847W1033,814,09481,550SHSOLE15,196 0 66,354
Crestview Partners LP/NYCommon Stock92645B1033,815,25079,934SHSOLE14,697 0 65,237
Tandem Diabetes Care IncCommon Stock8753722033,208,41479,633SHSOLE14,623 0 65,010
ReposiTrak IncCommon Stock7002153041,214,80679,451SHSOLE79,451 0 0
Golden Ocean Group LtdCommon StockG396372051,053,83776,365SHSOLE76,365 0 0
Energy Services of America CorpCommon Stock29271Q103546,68776,353SHSOLE76,353 0 0
American Securities LLCCommon Stock0953061064,036,00474,949SHSOLE13,804 0 61,145
Agios Pharmaceuticals IncCommon Stock00847X1043,197,00374,142SHSOLE13,605 0 60,537
Ultralife CorpCommon Stock903899102785,03073,920SHSOLE73,920 0 0
Reservoir Media IncCommon Stock76119X105583,55773,868SHSOLE73,868 0 0
Immersion CorpCommon Stock452521107694,09173,761SHSOLE73,761 0 0
Quest Resource Holding CorpCommon Stock74836W203634,02272,048SHSOLE72,048 0 0
RadNet IncCommon Stock7504911024,195,81171,212SHSOLE13,145 0 58,067
Mueller Industries IncCommon Stock6247561024,038,64070,928SHSOLE12,840 0 58,088
Verrica Pharmaceuticals IncCommon Stock92511W108514,57270,586SHSOLE70,512 0 74
Daktronics IncCommon Stock234264109978,48170,142SHSOLE70,142 0 0
Orion Group Holdings IncCommon Stock68628V308665,72970,003SHSOLE70,003 0 0
AudioEye IncCommon Stock0507342011,218,85969,214SHSOLE69,175 0 39
ATI IncCommon Stock01741R1023,818,50968,864SHSOLE12,463 0 56,401
FTAI Aviation LtdCommon StockG3730V1057,037,29268,171SHSOLE12,499 0 55,672
Q2 Holdings IncCommon Stock74736L1094,092,60667,837SHSOLE12,452 0 55,385
Telephone and Data Systems IncCommon Stock9116841083,737,64267,292SHSOLE12,615 0 54,677
Napco Security Technologies IncCommon Stock6304021053,423,34965,897SHSOLE12,190 0 53,707
Universal Electronics IncCommon Stock913483103765,63065,889SHSOLE65,889 0 0
Suntx Capital Management CorpCommon Stock21044C1073,591,90765,059SHSOLE11,940 0 53,119
Twist Bioscience CorpCommon Stock90184D1003,191,57064,764SHSOLE11,886 0 52,878
Lands' End IncCommon Stock51509F105876,82764,520SHSOLE64,520 0 0
Alamos Gold IncCommon Stock011532108991,23663,204SHSOLE63,166 0 38
BK LC Lux MidCo SarlCommon StockM2029K1043,429,29963,027SHSOLE11,406 0 51,621
Vera Therapeutics IncCommon Stock92337R1012,256,00462,355SHSOLE11,396 0 50,959
Kontoor Brands IncCommon Stock50050N1034,065,77761,463SHSOLE11,123 0 50,340
Innodata IncCommon Stock457642205908,21961,242SHSOLE61,242 0 0
Cava Group IncCommon Stock1489291025,647,36260,888SHSOLE11,019 0 49,869
Gray Television IncCommon Stock92557A101598,54660,643SHSOLE60,643 0 0
Pennant Group Inc/TheCommon Stock70805E1091,402,48560,478SHSOLE60,443 0 35
PROCEPT BioRobotics CorpCommon Stock74276L1053,583,53958,660SHSOLE10,764 0 47,896
American Public Education IncCommon Stock02913V1031,027,34058,438SHSOLE58,438 0 0
JS Global Lifestyle Co LtdCommon StockG8068L1084,352,08757,912SHSOLE10,478 0 47,434
DT Midstream IncCommon Stock23345M1074,106,88457,819SHSOLE10,467 0 47,352
Crinetics Pharmaceuticals IncCommon Stock22663K1072,561,04757,179SHSOLE10,622 0 46,557
Coherent CorpCommon Stock19247G1074,111,74356,745SHSOLE10,268 0 46,477
Janux Therapeutics IncCommon Stock47103J1052,329,83855,618SHSOLE10,205 0 45,413
Brady CorpCommon Stock1046741063,645,88855,224SHSOLE9,996 0 45,228
Turtle Beach CorpCommon Stock900450206766,78853,472SHSOLE53,472 0 0
Argan IncCommon Stock04010E1093,801,39451,960SHSOLE9,570 0 42,390
Snow Phipps Group LLCCommon Stock92262D101925,15251,598SHSOLE51,598 0 0
Link Ventures LLLPCommon Stock30041R1081,053,82650,519SHSOLE50,485 0 34
Teekay Tankers LtdCommon StockY8565N3003,418,48149,680SHSOLE9,134 0 40,546
International Seaways IncCommon StockY410531022,851,66348,227SHSOLE8,846 0 39,381
AZZ IncCommon Stock0024741043,711,32248,043SHSOLE8,840 0 39,203
Cabot CorpCommon Stock1270551014,376,72147,630SHSOLE8,622 0 39,008
CommVault Systems IncCommon Stock2041661025,773,48147,491SHSOLE8,587 0 38,904
Mayville Engineering Co IncCommon Stock578605107781,77146,925SHSOLE46,925 0 0
Brink's Co/TheCommon Stock1096961044,774,91246,630SHSOLE8,439 0 38,191
Superior Group of Cos IncCommon Stock868358102877,08446,382SHSOLE46,382 0 0
Natural Grocers by Vitamin Cottage IncCommon Stock63888U108968,64945,691SHSOLE45,691 0 0
SkyWest IncCommon Stock8308791023,723,92645,375SHSOLE8,340 0 37,035
Gencor Industries IncCommon Stock368678108855,31244,225SHSOLE44,225 0 0
MediWound LtdCommon StockM68830112679,74543,798SHSOLE43,798 0 0
Sterling Infrastructure IncCommon Stock8592411015,067,31942,820SHSOLE7,900 0 34,920
Byrna Technologies IncCommon Stock12448X201424,02042,487SHSOLE42,487 0 0
Vertiv Holdings CoCommon Stock92537N1083,663,72942,321SHSOLE7,649 0 34,672
Virco Mfg. CorpCommon Stock927651109585,11841,974SHSOLE41,922 0 52
Northern Technologies International CorpCommon Stock665809109694,32841,928SHSOLE41,928 0 0
Scorpio Tankers IncCommon StockY7542C1303,384,10341,630SHSOLE7,533 0 34,097
Limoneira CoCommon Stock532746104862,07541,426SHSOLE41,426 0 0
BellRing Brands IncCommon Stock07831C1032,344,96841,039SHSOLE7,426 0 33,613
Ollie's Bargain Outlet Holdings IncCommon Stock6811161094,027,13041,022SHSOLE7,424 0 33,598
Agilysys IncCommon Stock00847J1054,268,17840,985SHSOLE7,520 0 33,465
Louisiana-Pacific CorpCommon Stock5463471053,364,00440,860SHSOLE7,394 0 33,466
Universal Stainless & Alloy Products IncCommon Stock9138371001,115,27040,733SHSOLE40,706 0 27
Kirby CorpCommon Stock4972661064,720,23639,424SHSOLE7,133 0 32,291
Itron IncCommon Stock4657411063,877,84739,186SHSOLE7,088 0 32,098
Joint Corp/TheCommon Stock47973J102548,48139,010SHSOLE39,010 0 0
GeneDx Holdings CorpCommon Stock81663L2001,011,74938,705SHSOLE38,705 0 0
Lakeland Industries IncCommon Stock511795106883,94738,533SHSOLE38,533 0 0
Encompass Health CorpCommon Stock29261A1003,243,54837,808SHSOLE6,843 0 30,965
Stoke Therapeutics IncCommon Stock86150R107508,47637,637SHSOLE37,637 0 0
Lifeway Foods IncCommon Stock531914109466,80736,555SHSOLE36,555 0 0
Vaxcyte IncCommon Stock92243G1082,757,77636,522SHSOLE6,606 0 29,916
SOW GOOD INCCommon Stock84612H106701,68135,049SHSOLE35,049 0 0
Dycom Industries IncCommon Stock2674751015,910,48135,023SHSOLE6,337 0 28,686
Sprouts Farmers Market IncCommon Stock85208M1022,921,82634,925SHSOLE6,315 0 28,610
TransMedics Group IncCommon Stock89377M1095,188,25734,446SHSOLE6,228 0 28,218
Maui Land & Pineapple Co IncCommon Stock577345101755,38934,258SHSOLE34,258 0 0
Cirrus Logic IncCommon Stock1727551004,292,05733,621SHSOLE6,082 0 27,539
Boot Barn Holdings IncCommon Stock0994061004,291,04833,282SHSOLE6,024 0 27,258
Universal Technical Institute IncCommon Stock913915104520,64733,099SHSOLE33,099 0 0
LeMaitre Vascular IncCommon Stock5255582012,712,19632,963SHSOLE6,169 0 26,794
Electromed IncCommon Stock285409108491,16532,679SHSOLE32,679 0 0
Perspective Therapeutics IncCommon Stock46489V302325,33132,631SHSOLE32,631 0 0
Tenet Healthcare CorpCommon Stock88033G4074,335,44832,590SHSOLE5,896 0 26,694
Modine Manufacturing CoCommon Stock6078281003,263,48932,573SHSOLE6,080 0 26,493
Willdan Group IncCommon Stock96924N100933,21132,347SHSOLE32,323 0 24
nVent Electric PLCCommon StockG6700G1072,434,66631,780SHSOLE5,759 0 26,021
KB HomeCommon Stock48666K1092,174,24730,981SHSOLE5,607 0 25,374
Graham CorpCommon Stock384556106851,69930,245SHSOLE30,245 0 0
Freshpet IncCommon Stock3580391053,857,50429,813SHSOLE5,395 0 24,418
Hamilton Lane IncCommon Stock4074971063,675,76429,744SHSOLE5,384 0 24,360
Mr Cooper Group IncCommon Stock62482R1072,400,83429,556SHSOLE5,358 0 24,198
L B Foster CoCommon Stock350060109619,56128,790SHSOLE28,790 0 0
Natural Gas Services Group IncCommon Stock63886Q109570,98528,379SHSOLE28,379 0 0
Glaukos CorpCommon Stock3773221023,337,70728,202SHSOLE5,103 0 23,099
Strategic Education IncCommon Stock86272C1033,117,73528,174SHSOLE5,180 0 22,994
Impinj IncCommon Stock4532041094,331,39827,629SHSOLE5,001 0 22,628
LendingTree IncCommon Stock52603B1071,143,72527,500SHSOLE27,484 0 16
AeroVironment IncCommon Stock0080731085,003,93527,470SHSOLE4,971 0 22,499
Turning Point Brands IncCommon Stock90041L105879,84427,418SHSOLE27,418 0 0
Texas Roadhouse IncCommon Stock8826811094,656,77527,120SHSOLE4,907 0 22,213
Krystal Biotech IncCommon Stock5011471024,826,79426,284SHSOLE4,757 0 21,527
Onto Innovation IncCommon Stock6833441055,679,79825,869SHSOLE4,686 0 21,183
Longboard Pharmaceuticals IncCommon Stock54300N103690,07625,530SHSOLE25,530 0 0
Elutia IncCommon Stock05479K106125,29025,260SHSOLE25,260 0 0
SPX Technologies IncCommon Stock78473E1033,548,80924,967SHSOLE4,532 0 20,435
Fluent IncCommon Stock75704L104630,73324,832SHSOLE24,832 0 0
Rocky Brands IncCommon Stock774515100907,03524,541SHSOLE24,541 0 0
TowerBrook Capital Partners LPCommon Stock46620W201841,86824,074SHSOLE24,053 0 21
Badger Meter IncCommon Stock0565251084,437,92523,815SHSOLE4,309 0 19,506
Tidewater IncCommon Stock88642R1092,185,92622,959SHSOLE4,155 0 18,804
Woodward IncCommon Stock9807451033,892,16222,320SHSOLE4,038 0 18,282
Celestica IncCommon Stock15101Q2071,252,37521,875SHSOLE21,834 0 41
Crane CoCommon Stock2244081043,127,94421,575SHSOLE3,913 0 17,662
Jasper Therapeutics IncCommon Stock471871202488,61821,525SHSOLE21,525 0 0
Tontine Associates LLCCommon Stock44951W1062,908,79220,877SHSOLE3,876 0 17,001
Piper Sandler CosCommon Stock7240781004,610,76520,032SHSOLE3,674 0 16,358
Universal Display CorpCommon Stock91347P1054,211,30820,030SHSOLE3,624 0 16,406
CRA International IncCommon Stock12618T1053,375,51219,600SHSOLE3,616 0 15,984
Weatherford International PLCCommon StockG488331182,324,59118,984SHSOLE3,435 0 15,549
FabrinetCommon StockG3323L1004,479,16718,298SHSOLE3,310 0 14,988
Spyre Therapeutics IncCommon Stock00773J202421,72217,938SHSOLE17,938 0 0
Moog IncCommon Stock6153942022,962,54817,708SHSOLE3,208 0 14,500
UFP Technologies IncCommon Stock9026731024,647,27817,612SHSOLE3,260 0 14,352
Powell Industries IncCommon Stock7391281062,376,42516,572SHSOLE3,045 0 13,527
Limbach Holdings IncCommon Stock53263P105929,83816,333SHSOLE16,333 0 0
Ralph Lauren CorpCommon Stock7512121012,797,45915,980SHSOLE2,891 0 13,089
Curtiss-Wright CorpCommon Stock2315611014,112,12215,175SHSOLE2,749 0 12,426
Taylor Devices IncCommon Stock877163105674,52014,996SHSOLE14,996 0 0
Comfort Systems USA IncCommon Stock1999081044,396,66314,457SHSOLE2,620 0 11,837
Northeast BankCommon Stock66405S100823,92313,538SHSOLE13,538 0 0
Willis Lease Finance CorpCommon Stock970646105926,95713,376SHSOLE13,376 0 0
Camtek Ltd/IsraelCommon StockM207911051,668,07213,319SHSOLE13,299 0 20
Appfolio IncCommon Stock03783C1003,186,25813,028SHSOLE2,359 0 10,669
Miller Industries Inc/TNCommon Stock600551204704,42112,803SHSOLE12,803 0 0
Corbus Pharmaceuticals Holdings IncCommon Stock21833P301570,55712,609SHSOLE12,594 0 15
Moneylion IncCommon Stock60938K304872,62611,866SHSOLE11,857 0 9
Evercore IncCommon Stock29977A1052,268,55210,884SHSOLE1,971 0 8,913
Super Micro Computer IncCommon Stock86800U1048,036,1859,808SHSOLE1,774 0 8,034
CACI International IncCommon Stock1271903044,059,1379,437SHSOLE1,707 0 7,730
Wix.com LtdCommon StockM980681051,361,0038,556SHSOLE8,552 0 4
Roark Capital Group IncCommon Stock9741551033,530,0568,352SHSOLE1,511 0 6,841
Sezzle IncCommon Stock78435P105632,2737,167SHSOLE7,167 0 0
Medpace Holdings IncCommon Stock58506Q1092,841,3536,899SHSOLE1,251 0 5,648
Nova LtdCommon StockM7516K1031,597,1496,810SHSOLE6,806 0 4
HCI Group IncCommon Stock40416E103418,1754,537SHSOLE4,537 0 0