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:
06-30-2021
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]
08-12-2021
                           [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).)



List of Other Managers Reporting for this Manager
[If there are no entries in this list, omit this section.]



Form 13F File NumberNameCIK
Bank of New York Mellon Corp
0001390777

Form 13F Summary Page

Report Summary:

Number of Other Included Managers:
0
Form 13F Information table Entry Total:
302
Form 13F Information table Value Total:
647594
          (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
Ur-Energy IncCommon Stock91688R1081,374981,390SHSOLE306,910 0 674,480
TETRA Technologies IncCommon Stock88162F1054,068937,354SHSOLE147,504 0 789,850
PAVmed IncCommon Stock70387R1065,091795,537SHSOLE113,577 0 681,960
EMCORE CorpCommon Stock2908462035,081551,057SHSOLE81,817 0 469,240
Hudson Technologies IncCommon Stock4441441091,839540,876SHSOLE168,513 0 372,363
Stereotaxis IncCommon Stock85916J4094,358452,112SHSOLE30,512 0 421,600
VistaGen Therapeutics IncCommon Stock92840H2021,236392,455SHSOLE122,673 0 269,782
Party City Holdco IncCommon Stock7021491053,522377,515SHSOLE29,062 0 348,453
Verastem IncCommon Stock92337C1041,502369,000SHSOLE4,919 0 364,081
Safe Bulkers IncCommon StockY7388L1031,458363,574SHSOLE113,669 0 249,905
Entravision Communications CorpCommon Stock29382R1072,300344,273SHSOLE107,283 0 236,990
Affimed NVCommon StockN010451082,900341,209SHSOLE26,717 0 314,492
Pangaea Logistics Solutions LtdCommon StockG6891L1051,655329,752SHSOLE103,067 0 226,685
Aldeyra Therapeutics IncCommon Stock01438T1063,722328,539SHSOLE49,821 0 278,718
comScore IncCommon Stock20564W1051,572314,376SHSOLE98,261 0 216,115
Performant Financial CorpCommon Stock71377E1051,131301,642SHSOLE94,305 0 207,337
Volt Information Sciences IncCommon Stock9287031071,351295,553SHSOLE92,057 0 203,496
Pieris Pharmaceuticals IncCommon Stock7207951031,105288,459SHSOLE90,160 0 198,299
Babcock & Wilcox Enterprises IncCommon Stock05614L2092,273288,405SHSOLE45,875 0 242,530
Information Services Group IncCommon Stock45675Y1041,673285,963SHSOLE89,120 0 196,843
MDC Partners IncCommon Stock5526971041,647281,455SHSOLE87,994 0 193,461
PDS Biotechnology CorpCommon Stock70465T1073,509279,613SHSOLE47,432 0 232,181
PLx Pharma IncCommon Stock72942A1073,819276,715SHSOLE41,772 0 234,943
DigitalBridge Group IncCommon Stock25401T1082,172274,914SHSOLE35,893 0 239,021
SandRidge Energy IncCommon Stock80007P8691,678267,248SHSOLE83,552 0 183,696
Quest Resource Holding CorpCommon Stock74836W2031,671263,208SHSOLE81,930 0 181,278
Huttig Building Products IncCommon Stock4484511041,482256,461SHSOLE79,906 0 176,555
Century Casinos IncCommon Stock1564921003,407253,719SHSOLE44,637 0 209,082
Williams Industrial Services Group IncCommon Stock96951A1041,465251,366SHSOLE78,284 0 173,082
BioCryst Pharmaceuticals IncCommon Stock09058V1033,950249,856SHSOLE19,501 0 230,355
Clearside Biomedical IncCommon Stock1850631041,206247,561SHSOLE77,065 0 170,496
LSB Industries IncCommon Stock5021601041,463241,866SHSOLE75,585 0 166,281
Identiv IncCommon Stock45170X2054,012236,022SHSOLE42,154 0 193,868
Energy Fuels Inc/CanadaCommon Stock2926717081,423235,144SHSOLE3,135 0 232,009
Everi Holdings IncCommon Stock30034T1035,732229,831SHSOLE15,924 0 213,907
RR Donnelley & Sons CoCommon Stock2578672001,426227,089SHSOLE70,688 0 156,401
Beauty Health Co/TheCommon Stock88331L1083,793225,790SHSOLE17,969 0 207,821
Genco Shipping & Trading LtdCommon StockY2685T1314,165220,621SHSOLE36,980 0 183,641
Apollo Endosurgery IncCommon Stock03767D1081,699209,706SHSOLE65,337 0 144,369
Harvard Bioscience IncCommon Stock4169061051,724206,989SHSOLE64,465 0 142,524
Commercial Vehicle Group IncCommon Stock2026081052,169204,079SHSOLE31,969 0 172,110
Build-A-Bear Workshop IncCommon Stock1200761043,516203,098SHSOLE32,223 0 170,875
Houghton Mifflin Harcourt CoCommon Stock44157R1092,223201,350SHSOLE2,680 0 198,670
Innodata IncCommon Stock4576422051,330189,995SHSOLE59,201 0 130,794
Brookdale Senior Living IncCommon Stock1124631041,480187,297SHSOLE2,490 0 184,807
Extreme Networks IncCommon Stock30226D1062,069185,355SHSOLE2,466 0 182,889
VirTra IncCommon Stock92827K3011,357184,130SHSOLE57,390 0 126,740
Superior Industries International IncCommon Stock8681681051,574182,597SHSOLE57,087 0 125,510
iHeartMedia IncCommon Stock45174J5094,900181,939SHSOLE15,227 0 166,712
Manning & Napier IncCommon Stock56382Q1021,411179,305SHSOLE56,071 0 123,234
Potbelly CorpCommon Stock73754Y1001,415179,160SHSOLE55,791 0 123,369
Full House Resorts IncCommon Stock3596781091,780179,120SHSOLE55,779 0 123,341
Antero Resources CorpCommon Stock03674X1062,678178,165SHSOLE23,190 0 154,975
Anavex Life Sciences CorpCommon Stock0327973004,063177,728SHSOLE13,122 0 164,606
Rambus IncCommon Stock7509171063,921165,359SHSOLE13,146 0 152,213
Inmune Bio IncCommon Stock45782T1052,843161,793SHSOLE25,632 0 136,161
Dasan Networks IncCommon Stock2682111093,235155,916SHSOLE26,802 0 129,114
Ooma IncCommon Stock6834161012,878152,599SHSOLE25,377 0 127,222
Range Resources CorpCommon Stock75281A1092,550152,142SHSOLE19,802 0 132,340
ONE Group Hospitality Inc/TheCommon Stock88338K1031,675152,031SHSOLE47,358 0 104,673
HyreCar IncCommon Stock44916T1073,175151,790SHSOLE23,703 0 128,087
AngioDynamics IncCommon Stock03475V1014,112151,566SHSOLE11,526 0 140,040
EnerVest LtdCommon Stock5596631092,342149,863SHSOLE19,400 0 130,463
MoneyGram International IncCommon Stock60935Y2081,508149,576SHSOLE1,994 0 147,582
IRIDEX CorpCommon Stock4626841011,029145,805SHSOLE45,572 0 100,233
iMedia Brands IncCommon Stock4524652061,169145,225SHSOLE45,236 0 99,989
Earthstone Energy IncCommon Stock27032D3041,606145,104SHSOLE45,163 0 99,941
Apollo Global Management IncCommon Stock72814N1041,421143,539SHSOLE44,876 0 98,663
Juniper Capital Advisors LPCommon Stock70788V1023,371142,764SHSOLE22,896 0 119,868
Harrow Health IncCommon Stock4158581091,322142,272SHSOLE44,480 0 97,792
E2open Parent Holdings IncCommon Stock29788T1031,615141,459SHSOLE18,362 0 123,097
American Outdoor Brands IncCommon Stock02875D1094,808136,823SHSOLE23,553 0 113,270
inTEST CorpCommon Stock4611471002,271135,423SHSOLE42,194 0 93,229
Avid Bioservices IncCommon Stock05368M1063,389132,144SHSOLE1,759 0 130,385
Select Interior Concepts IncCommon Stock8161203071,196127,283SHSOLE39,660 0 87,623
RadNet IncCommon Stock7504911024,282127,109SHSOLE9,315 0 117,794
Inspired Entertainment IncCommon Stock45782N1081,600125,453SHSOLE39,072 0 86,381
TimkenSteel CorpCommon Stock8873991031,755124,057SHSOLE38,788 0 85,269
BBQ Holdings IncCommon Stock05551A1092,333122,915SHSOLE38,276 0 84,639
Community Health Systems IncCommon Stock2036681081,892122,547SHSOLE1,631 0 120,916
Avid Technology IncCommon Stock05367P1004,777122,030SHSOLE8,943 0 113,087
Tilly's IncCommon Stock8868851021,948121,884SHSOLE38,097 0 83,787
Post Holdings IncCommon Stock0798231003,816121,770SHSOLE9,628 0 112,142
Townsquare Media IncCommon Stock8922311011,513118,634SHSOLE36,947 0 81,687
Rubius Therapeutics IncCommon Stock78116T1032,883118,095SHSOLE9,099 0 108,996
Fog Cutter Capital Group IncCommon Stock30258N1051,704116,804SHSOLE36,507 0 80,297
MiMedx Group IncCommon Stock6024961011,452116,075SHSOLE1,547 0 114,528
CommScope Holding Co IncCommon Stock20337X1092,346110,085SHSOLE14,259 0 95,826
Friedman Industries IncCommon Stock3584351051,443107,712SHSOLE33,666 0 74,046
Computer Task Group IncCommon Stock2054771021,013104,712SHSOLE32,594 0 72,118
Prothena Corp PLCCommon StockG728001085,375104,550SHSOLE7,758 0 96,792
Switch IncCommon Stock87105L1042,184103,450SHSOLE13,412 0 90,038
Protagonist Therapeutics IncCommon Stock74366E1024,534101,019SHSOLE7,345 0 93,674
ACON Investments LLCCommon Stock3610081052,145100,799SHSOLE9,646 0 91,153
JAKKS Pacific IncCommon Stock47012E4031,07597,683SHSOLE30,531 0 67,152
Oceaneering International IncCommon Stock6752321021,50696,704SHSOLE1,289 0 95,415
Farmland Partners IncCommon Stock31154R1091,16096,235SHSOLE30,078 0 66,157
UMH Properties IncCommon Stock9030021032,08695,617SHSOLE1,273 0 94,344
B&D Holding SpaCommon StockG4863A1082,27494,909SHSOLE12,333 0 82,576
Alta Equipment Group IncCommon Stock02128L1061,25794,618SHSOLE29,445 0 65,173
Duckhorn Portfolio Inc/TheCommon Stock26414D1062,07594,041SHSOLE12,301 0 81,740
Cross Country Healthcare IncCommon Stock2274831041,52792,511SHSOLE1,233 0 91,278
Grid Dynamics Holdings IncCommon Stock39813G1091,37891,703SHSOLE1,222 0 90,481
Tenneco IncCommon Stock8803491051,75490,799SHSOLE1,207 0 89,592
Element Solutions IncCommon Stock28618M1062,12090,687SHSOLE11,750 0 78,937
Skyline Champion CorpCommon Stock8308301054,81490,311SHSOLE7,686 0 82,625
Talos Energy IncCommon Stock87484T1081,40990,095SHSOLE1,200 0 88,895
Independence Realty Trust IncCommon Stock45378A1061,63689,755SHSOLE1,196 0 88,559
Zedge IncCommon Stock98923T1041,58786,179SHSOLE26,840 0 59,339
Dell Technologies IncCommon Stock81374A1051,58285,099SHSOLE1,133 0 83,966
SM Energy CoCommon Stock78454L1002,06883,977SHSOLE10,925 0 73,052
Gladstone Land CorpCommon Stock3765491012,00683,365SHSOLE1,109 0 82,256
RAPT Therapeutics IncCommon Stock75382E1092,63983,026SHSOLE6,237 0 76,789
Vertiv Holdings CoCommon Stock92537N1082,26682,995SHSOLE10,799 0 72,196
Mayville Engineering Co IncCommon Stock5786051071,66382,686SHSOLE25,765 0 56,921
SeaSpine Holdings CorpCommon Stock81255T1081,67081,423SHSOLE1,084 0 80,339
CalAmp CorpCommon Stock1281261091,03281,160SHSOLE25,367 0 55,793
ADTRAN IncCommon Stock00738A1061,64479,604SHSOLE1,061 0 78,543
Pure Cycle CorpCommon Stock7462283031,09779,397SHSOLE24,727 0 54,670
Clearfield IncCommon Stock18482P1032,96979,288SHSOLE13,393 0 65,895
Select Medical Holdings CorpCommon Stock81619Q1053,33578,918SHSOLE10,242 0 68,676
Calix IncCommon Stock13100M5093,74178,759SHSOLE5,635 0 73,124
North American Construction Group LtdCommon Stock6568111061,18977,995SHSOLE77,995 0 0
Clarus CorpCommon Stock18270P1091,97576,859SHSOLE1,024 0 75,835
WideOpenWest IncCommon Stock96758W1011,58876,655SHSOLE1,021 0 75,634
Bain Capital LPCommon Stock86881A1005,01875,318SHSOLE5,104 0 70,214
A-Mark Precious Metals IncCommon Stock00181T1073,43373,831SHSOLE12,631 0 61,200
Smith-Midland CorpCommon Stock8321561031,71172,513SHSOLE22,593 0 49,920
Ovintiv IncCommon Stock69047Q1022,27972,420SHSOLE9,342 0 63,078
Agiliti IncCommon Stock00848J1041,58072,245SHSOLE9,430 0 62,815
Cowen IncCommon Stock2236226062,91270,928SHSOLE5,394 0 65,534
Valvoline IncCommon Stock92047W1012,26669,811SHSOLE9,073 0 60,738
Regional Management CorpCommon Stock75902K1063,20768,899SHSOLE11,517 0 57,382
Cumulus Media IncCommon Stock2310828011,00968,875SHSOLE21,412 0 47,463
Energy Holding CorpCommon StockG872641001,47168,744SHSOLE68,744 0 0
KKR & Co IncCommon Stock00402L1072,83268,641SHSOLE8,917 0 59,724
Allot LtdCommon StockM0854Q1051,34567,835SHSOLE67,835 0 0
American Software Inc/GACommon Stock0296831091,47567,164SHSOLE895 0 66,269
Shyft Group Inc/TheCommon Stock8256981032,50867,049SHSOLE5,362 0 61,687
Chicken Soup for the Soul Holdings LLCCommon Stock16842Q1002,72565,811SHSOLE10,498 0 55,313
Callon Petroleum CoCommon Stock13123X5083,78065,528SHSOLE5,205 0 60,323
Liquidity Services IncCommon Stock53635B1071,66465,381SHSOLE871 0 64,510
Inovalon Holdings IncCommon Stock45781D1012,18364,062SHSOLE8,348 0 55,714
Callaway Golf CoCommon Stock1311931042,12563,008SHSOLE8,149 0 54,859
Arconic CorpCommon Stock03966V1072,23762,810SHSOLE8,164 0 54,646
Summit Materials IncCommon Stock86614U1002,14161,421SHSOLE7,994 0 53,427
Cricut IncCommon Stock22658D1002,60061,025SHSOLE7,940 0 53,085
Smith & Wesson Brands IncCommon Stock8317541062,09260,291SHSOLE803 0 59,488
Green Plains IncCommon Stock3932221041,98859,120SHSOLE787 0 58,333
Bancorp Inc/TheCommon Stock05969A1051,35758,984SHSOLE786 0 58,198
Dicerna Pharmaceuticals IncCommon Stock2530311082,18858,619SHSOLE7,656 0 50,963
Nutanix IncCommon Stock67059N1082,21557,964SHSOLE7,557 0 50,407
Ichor Holdings LtdCommon StockG4740B1053,06156,905SHSOLE4,099 0 52,806
KnowBe4 IncCommon Stock49926T1041,76156,306SHSOLE7,350 0 48,956
Lantheus Holdings IncCommon Stock5165441031,55656,294SHSOLE749 0 55,545
SilverBow Resources IncCommon Stock82836G1021,29155,600SHSOLE17,378 0 38,222
Ranpak Holdings CorpCommon Stock75321W1031,38155,173SHSOLE734 0 54,439
SkyWater Technology IncCommon Stock83089J1081,57855,087SHSOLE734 0 54,353
Cerevel Therapeutics Holdings IncCommon Stock15678U1281,41055,021SHSOLE7,170 0 47,851
Red Rock Resorts IncCommon Stock75700L1082,31854,547SHSOLE7,092 0 47,455
Aviat Networks IncCommon Stock05366Y2011,76453,818SHSOLE10,099 0 43,719
FTS International IncCommon Stock30283W3021,50953,325SHSOLE16,618 0 36,707
Inotiv IncCommon Stock45783Q1001,42053,217SHSOLE16,554 0 36,663
Revolve Group IncCommon Stock76156B1073,66553,196SHSOLE3,742 0 49,454
Denbury IncCommon Stock24790A1014,08453,188SHSOLE4,306 0 48,882
NEOGAMES SACommon StockL6673X1073,25852,999SHSOLE25,028 0 27,971
American Eagle Outfitters IncCommon Stock02553E1061,97052,480SHSOLE6,837 0 45,643
Titan Machinery IncCommon Stock88830R1011,59951,684SHSOLE689 0 50,995
Olo IncCommon Stock68134L1091,92151,385SHSOLE6,664 0 44,721
Perficient IncCommon Stock71375U1014,06850,589SHSOLE4,061 0 46,528
Celldex Therapeutics IncCommon Stock15117B2021,69050,533SHSOLE673 0 49,860
Boot Barn Holdings IncCommon Stock0994061004,24750,526SHSOLE4,225 0 46,301
Ultra Clean Holdings IncCommon Stock90385V1072,67449,784SHSOLE3,904 0 45,880
Capital Bancorp IncCommon Stock1397371001,00048,895SHSOLE15,200 0 33,695
Ideaya Biosciences IncCommon Stock45166A1021,02548,810SHSOLE650 0 48,160
Annovis Bio IncCommon Stock03615A1084,16348,643SHSOLE3,872 0 44,771
NCR CorpCommon Stock62886E1082,21148,474SHSOLE6,279 0 42,195
Intra-Cellular Therapies IncCommon Stock46116X1011,96848,220SHSOLE6,308 0 41,912
Olin CorpCommon Stock6806652052,22848,158SHSOLE6,253 0 41,905
Owens & Minor IncCommon Stock6907321022,03247,998SHSOLE6,216 0 41,782
Domo IncCommon Stock2575541053,84747,588SHSOLE3,767 0 43,821
Delta Apparel IncCommon Stock2473681031,36646,281SHSOLE14,411 0 31,870
Thryv Holdings IncCommon Stock8860292061,65246,197SHSOLE615 0 45,582
Kura Sushi USA IncCommon Stock5012701021,75446,152SHSOLE14,425 0 31,727
MVB Financial CorpCommon Stock5538101021,95945,927SHSOLE14,309 0 31,618
Celcuity IncCommon Stock15102K1001,10245,905SHSOLE14,284 0 31,621
Harley-Davidson IncCommon Stock4128221082,05344,811SHSOLE5,823 0 38,988
Alcoa CorpCommon Stock0138721061,62744,167SHSOLE5,766 0 38,401
OptimizeRx CorpCommon Stock68401U2042,71143,794SHSOLE6,130 0 37,664
Herman Miller IncCommon Stock6005441002,03543,167SHSOLE5,590 0 37,577
XPEL IncCommon Stock98379L1003,62043,166SHSOLE3,406 0 39,760
DoubleVerify Holdings IncCommon Stock25862V1051,82343,056SHSOLE5,593 0 37,463
Bassett Furniture Industries IncCommon Stock0702031041,03742,581SHSOLE13,262 0 29,319
Customers Bancorp IncCommon Stock23204G1001,65642,483SHSOLE566 0 41,917
OneMain Holdings IncCommon Stock68268W1032,52742,176SHSOLE5,429 0 36,747
Jabil IncCommon Stock4663131032,37740,897SHSOLE5,279 0 35,618
Laredo Petroleum IncCommon Stock5168062053,76140,527SHSOLE6,646 0 33,881
Privia Health Group IncCommon Stock74276R1021,79840,520SHSOLE5,289 0 35,231
Golden Entertainment IncCommon Stock3810131011,81440,493SHSOLE539 0 39,954
Rocky Brands IncCommon Stock7745151002,22339,988SHSOLE6,119 0 33,869
Asana IncCommon Stock04342Y1042,47039,812SHSOLE5,171 0 34,641
Enova International IncCommon Stock29357K1031,32238,648SHSOLE515 0 38,133
Donnelley Financial Solutions IncCommon Stock25787G1001,24837,813SHSOLE504 0 37,309
Sealed Air CorpCommon Stock81211K1002,21937,458SHSOLE4,883 0 32,575
KBR IncCommon Stock48242W1061,42537,341SHSOLE4,861 0 32,480
Precision Drilling CorpCommon Stock74022D4071,55537,281SHSOLE37,281 0 0
Cutera IncCommon Stock2321091081,81236,959SHSOLE492 0 36,467
Vertex Energy IncCommon Stock92534K10748036,311SHSOLE484 0 35,827
Eagle Bulk Shipping IncCommon StockY2187A1501,71236,170SHSOLE481 0 35,689
PASL Holding LLCCommon Stock5917741042,17536,115SHSOLE6,104 0 30,011
Apellis Pharmaceuticals IncCommon Stock03753U1062,25935,746SHSOLE4,671 0 31,075
Tenet Healthcare CorpCommon Stock88033G4072,35235,104SHSOLE4,573 0 30,531
Coastal Financial Corp/WACommon Stock19046P20997934,270SHSOLE10,651 0 23,619
Progyny IncCommon Stock74340E1032,02034,244SHSOLE4,436 0 29,808
DD3 Acquisition CorpCommon StockP1666E1051,70634,106SHSOLE34,106 0 0
Herc Holdings IncCommon Stock42704L1043,78433,765SHSOLE3,010 0 30,755
Bonanza Creek Energy IncCommon Stock0977934001,57833,518SHSOLE446 0 33,072
Nature's Sunshine Products IncCommon Stock63902710157433,051SHSOLE10,291 0 22,760
AtriCure IncCommon Stock04963C2092,61732,987SHSOLE4,289 0 28,698
Kforce IncCommon Stock4937321012,06332,786SHSOLE437 0 32,349
Abercrombie & Fitch CoCommon Stock0028962071,51632,641SHSOLE435 0 32,206
Squarespace IncCommon Stock85225A1071,91932,309SHSOLE4,216 0 28,093
CommVault Systems IncCommon Stock2041661022,50732,070SHSOLE4,162 0 27,908
Scientific Games CorpCommon Stock80874P1092,44931,622SHSOLE4,109 0 27,513
Transcat IncCommon Stock8935291071,75931,133SHSOLE9,732 0 21,401
Celsius Holdings IncCommon Stock15118V2072,32930,603SHSOLE3,961 0 26,642
Haverty Furniture Cos IncCommon Stock4195961011,30630,548SHSOLE407 0 30,141
Korn FerryCommon Stock5006432002,17529,977SHSOLE3,900 0 26,077
Central Garden & Pet CoCommon Stock1535272051,44329,875SHSOLE3,884 0 25,991
SeaWorld Entertainment IncCommon Stock81282V1001,46729,380SHSOLE3,819 0 25,561
Acme United CorpCommon Stock0048161041,28128,738SHSOLE8,942 0 19,796
Crocs IncCommon Stock2270461093,33728,642SHSOLE3,715 0 24,927
Flexsteel Industries IncCommon Stock3393821031,14928,454SHSOLE8,864 0 19,590
Verve Therapeutics IncCommon Stock92539P1011,71228,413SHSOLE378 0 28,035
Anterix IncCommon Stock03676C1001,68828,132SHSOLE375 0 27,757
Monarch Casino & Resort IncCommon Stock6090271071,86128,119SHSOLE374 0 27,745
Signet Jewelers LtdCommon StockG812761002,20527,295SHSOLE3,557 0 23,738
Schnitzer Steel Industries IncCommon Stock8068821061,33427,190SHSOLE362 0 26,828
Rent-A-Center Inc/TXCommon Stock76009N1001,43427,023SHSOLE3,527 0 23,496
Dick's Sporting Goods IncCommon Stock2533931022,68426,793SHSOLE3,437 0 23,356
Robert Half International IncCommon Stock7703231032,36726,607SHSOLE3,458 0 23,149
Kaiser Aluminum CorpCommon Stock4830077043,28326,584SHSOLE2,127 0 24,457
Sprout Social IncCommon Stock85209W1092,27625,458SHSOLE3,317 0 22,141
OrthoPediatrics CorpCommon Stock68752L1001,60325,379SHSOLE338 0 25,041
Kontoor Brands IncCommon Stock50050N1031,42025,171SHSOLE3,273 0 21,898
Apollo Medical Holdings IncCommon Stock03763A2071,56624,928SHSOLE332 0 24,596
Onto Innovation IncCommon Stock6833441051,77224,266SHSOLE3,157 0 21,109
Biohaven Pharmaceutical Holding Co LtdCommon StockG111961052,33524,048SHSOLE3,133 0 20,915
YETI Holdings IncCommon Stock98585X1042,16623,595SHSOLE3,053 0 20,542
Boyd Gaming CorpCommon Stock1033041011,42523,178SHSOLE3,009 0 20,169
Acadia Healthcare Co IncCommon Stock00404A1091,45123,121SHSOLE3,005 0 20,116
Morphic Holding IncCommon Stock61775R1051,31622,933SHSOLE305 0 22,628
Cassava Sciences IncCommon Stock14817C1071,91822,447SHSOLE299 0 22,148
Montrose Environmental Group IncCommon Stock6151111011,19122,204SHSOLE296 0 21,908
Workiva IncCommon Stock98139A1052,46922,181SHSOLE2,896 0 19,285
Forward Air CorpCommon Stock3498531011,98822,150SHSOLE2,873 0 19,277
Intellia Therapeutics IncCommon Stock45826J1053,52121,746SHSOLE2,821 0 18,925
Cambium Networks CorpCommon StockG177661091,04221,541SHSOLE287 0 21,254
Brooks Automation IncCommon Stock1143401022,02521,250SHSOLE2,769 0 18,481
Hibbett IncCommon Stock4285671011,88621,043SHSOLE280 0 20,763
MYR Group IncCommon Stock55405W1041,91221,032SHSOLE280 0 20,752
Mistral Equity PartnersCommon Stock54738L1091,66520,872SHSOLE278 0 20,594
Life Storage IncCommon Stock53223X1072,23920,854SHSOLE2,699 0 18,155
Beam Therapeutics IncCommon Stock07373V1052,63120,440SHSOLE2,653 0 17,787
Tontine Associates LLCCommon Stock44951W1061,03920,236SHSOLE269 0 19,967
WESCO International IncCommon Stock95082P1052,07220,147SHSOLE2,612 0 17,535
HCI Group IncCommon Stock40416E1031,98920,004SHSOLE266 0 19,738
Southern First Bancshares IncCommon Stock84287310198719,288SHSOLE5,998 0 13,290
Fox Factory Holding CorpCommon Stock35138V1022,97619,121SHSOLE2,486 0 16,635
Diamondback Energy IncCommon Stock25278X1091,69618,069SHSOLE2,351 0 15,718
Avis Budget Group IncCommon Stock0537741051,37017,588SHSOLE2,292 0 15,296
Omnicell IncCommon Stock68213N1092,65317,516SHSOLE2,260 0 15,256
B Riley Financial IncCommon Stock05580M1081,31017,351SHSOLE231 0 17,120
Shift4 Payments IncCommon Stock82452J1091,61817,266SHSOLE2,254 0 15,012
Heska CorpCommon Stock42805E3063,95017,193SHSOLE1,365 0 15,828
Insight Enterprises IncCommon Stock45765U1031,71717,168SHSOLE2,237 0 14,931
Shockwave Medical IncCommon Stock82489T1043,19416,835SHSOLE2,188 0 14,647
RCI Hospitality Holdings IncCommon Stock74934Q1081,08816,429SHSOLE5,116 0 11,313
Joint Corp/TheCommon Stock47973J1021,37216,345SHSOLE5,081 0 11,264
Shutterstock IncCommon Stock8256901001,60016,302SHSOLE2,121 0 14,181
EnPro Industries IncCommon Stock29355X1071,58316,299SHSOLE217 0 16,082
Nova Measuring Instruments LtdCommon StockM7516K1031,61515,695SHSOLE15,695 0 0
Manhattan Associates IncCommon Stock5627501092,27115,679SHSOLE2,047 0 13,632
Advanced Drainage Systems IncCommon Stock00790R1041,76115,110SHSOLE1,969 0 13,141
Synaptics IncCommon Stock87157D1092,27714,634SHSOLE1,911 0 12,723
TTEC Holdings IncCommon Stock89854H1021,50014,549SHSOLE1,896 0 12,653
EMCOR Group IncCommon Stock29084Q1001,73314,065SHSOLE1,832 0 12,233
MasTec IncCommon Stock5763231091,45113,680SHSOLE1,778 0 11,902
STAAR Surgical CoCommon Stock8523123051,96412,879SHSOLE1,669 0 11,210
Oshkosh CorpCommon Stock6882392011,50312,057SHSOLE1,570 0 10,487
SYNNEX CorpCommon Stock87162W1001,43711,799SHSOLE1,537 0 10,262
Acuity Brands IncCommon Stock00508Y1022,12911,383SHSOLE1,480 0 9,903
John Bean Technologies CorpCommon Stock4778391041,60511,256SHSOLE1,470 0 9,786
Chart Industries IncCommon Stock16115Q3081,47510,081SHSOLE1,315 0 8,766
Medifast IncCommon Stock58470H1011,8476,528SHSOLE848 0 5,680
Signature Bank/New York NYCommon Stock82669G1041,7497,119SHSOLE925 0 6,194
Rogers CorpCommon Stock7751331011,5377,653SHSOLE996 0 6,657
Texas Pacific Land CorpCommon Stock88262P1021,529956SHSOLE122 0 834
Middleby Corp/TheCommon Stock5962781011,5088,706SHSOLE1,130 0 7,576
First Citizens BancShares Inc/NCCommon Stock31946M1031,4221,708SHSOLE221 0 1,487
M/I Homes IncCommon Stock55305B1013666,231SHSOLE83 0 6,148
Aspen Aerogels IncCommon Stock04523Y1052227,428SHSOLE99 0 7,329