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:
03-31-2023
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]
05-12-2023
                           [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 Corporation
 

Form 13F Summary Page

Report Summary:

Number of Other Included Managers:
0
Form 13F Information table Entry Total:
248
Form 13F Information table Value Total:
454487195
          (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
scPharmaceuticals IncCommon Stock810648105835,4906,675,132SHSOLE 0 0 6,675,132
Marathon Petroleum CorpCommon Stock56585A102853,0941,431,179SHSOLE 0 0 1,431,179
AutoNation IncCommon Stock05329W102805,4601,287,715SHSOLE 0 0 1,287,715
Expro Group Holdings NVCommon StockN3144W1053,428,3391,035,752SHSOLE318,042 0 717,710
Academy Sports & Outdoors IncCommon Stock00402L1071,059,731929,589SHSOLE434,131 0 495,458
Lantheus Holdings IncCommon Stock5165441031,118,343702,802SHSOLE 0 0 702,802
Schlumberger NVCommon Stock8068571081,159,006701,455SHSOLE 0 0 701,455
Zillow Group IncCommon Stock98954M2003,285,475685,903SHSOLE219,516 0 466,387
Advanced Micro Devices IncCommon Stock0079031071,073,588676,358SHSOLE 0 0 676,358
Taylor Devices IncCommon Stock877163105959,720638,712SHSOLE 0 0 638,712
Nucor CorpCommon Stock6703461052,393,816604,499SHSOLE104,846 0 499,653
ON Semiconductor CorpCommon Stock6821891052,137,177547,994SHSOLE255,830 0 292,164
Ardmore Shipping CorpCommon StockY0207T1001,602,434539,540SHSOLE251,883 0 287,657
Thermon Group Holdings IncCommon Stock88362T1032,795,466534,506SHSOLE92,394 0 442,112
Tiptree IncCommon Stock88822Q1031,300,372513,981SHSOLE240,033 0 273,948
RadNet IncCommon Stock750491102720,235486,597SHSOLE 0 0 486,597
PACCAR IncCommon Stock6937181081,712,710471,821SHSOLE220,287 0 251,534
Gencor Industries IncCommon Stock3686781083,206,437446,579SHSOLE132,756 0 313,823
Daktronics IncCommon Stock234264109839,261445,417SHSOLE 0 0 445,417
Federal Signal CorpCommon Stock3138551081,387,029392,926SHSOLE183,503 0 209,423
Harrow Health IncCommon Stock4158581091,482,949387,193SHSOLE180,825 0 206,368
Versant Venture Management LLCCommon Stock16961L1062,970,109383,735SHSOLE76,838 0 306,897
Bowman Consulting Group LtdCommon Stock1030021012,862,011377,574SHSOLE61,321 0 316,253
ADMA Biologics IncCommon Stock0008991043,312,279344,670SHSOLE47,003 0 297,667
Celldex Therapeutics IncCommon Stock15117B2024,785,391342,058SHSOLE118,865 0 223,193
Remitly Global IncCommon Stock75960P1044,888,433341,371SHSOLE106,772 0 234,599
Viridian Therapeutics IncCommon Stock92790C1045,655,322339,659SHSOLE100,188 0 239,471
Progress Software CorpCommon Stock7433121002,657,545319,033SHSOLE87,548 0 231,485
Bowlero CorpCommon Stock10258P1023,363,614318,826SHSOLE45,001 0 273,825
Intel CorpCommon Stock60741F1042,760,700316,594SHSOLE90,198 0 226,396
CBIZ IncCommon Stock1248051021,202,703313,204SHSOLE146,219 0 166,985
Haynes International IncCommon Stock4208772016,558,203309,934SHSOLE97,493 0 212,441
Fiserv IncCommon Stock3377381082,276,471306,802SHSOLE51,325 0 255,477
Performant Financial CorpCommon Stock71377E1054,211,958302,366SHSOLE106,686 0 195,680
Las Vegas Sands CorpCommon Stock5178341071,182,346296,292SHSOLE 0 0 296,292
Aldeyra Therapeutics IncCommon Stock01438T1061,060,392291,945SHSOLE 0 0 291,945
Mistras Group IncCommon Stock60649T1071,628,566287,225SHSOLE134,136 0 153,089
Astria Therapeutics IncCommon Stock04635X1021,343,474286,455SHSOLE133,731 0 152,724
General Electric CoCommon Stock3696043011,677,812256,939SHSOLE119,992 0 136,947
Badger Meter IncCommon Stock0565251083,562,685255,024SHSOLE83,222 0 171,802
Timken Co/TheCommon Stock8873891041,722,656254,079SHSOLE118,656 0 135,423
Smartsheet IncCommon Stock83200N1031,538,295253,844SHSOLE118,519 0 135,325
Inter Parfums IncCommon Stock4583341092,220,723248,403SHSOLE115,932 0 132,471
Vipshop Holdings LtdCommon Stock92763W1032,395,466248,003SHSOLE70,052 0 177,951
Gatos Silver IncCommon Stock3680361091,192,080245,284SHSOLE114,555 0 130,729
Encore Wire CorpCommon Stock2925621051,206,171243,671SHSOLE113,798 0 129,873
Arista Networks IncCommon Stock0404131062,273,274232,679SHSOLE44,001 0 188,678
Noble Holding Corp PLCCommon StockG654311272,099,083211,388SHSOLE58,314 0 153,074
CIRCOR International IncCommon Stock17273K1091,358,923209,065SHSOLE97,636 0 111,429
Preformed Line Products CoCommon Stock7404441041,703,993204,561SHSOLE95,499 0 109,062
Lincoln Electric Holdings IncCommon Stock5339001063,494,392201,988SHSOLE68,145 0 133,843
Integral Ad Science Holding CorpCommon Stock45828L108827,998200,083SHSOLE 0 0 200,083
Monster Beverage CorpCommon Stock61174X1092,834,550198,637SHSOLE34,827 0 163,810
Miller Industries Inc/TNCommon Stock6005512042,022,815192,649SHSOLE34,221 0 158,428
Spotify Technology SACommon StockL8681T1021,085,594190,455SHSOLE88,923 0 101,532
Core Molding Technologies IncCommon Stock2186831001,277,135187,814SHSOLE87,708 0 100,106
TowerBrook Capital Partners LPCommon Stock46620W2011,024,135182,466SHSOLE 0 0 182,466
Perion Network LtdCommon StockM786731141,832,639180,912SHSOLE84,489 0 96,423
LSI Industries IncCommon Stock50216C1081,562,524177,358SHSOLE82,837 0 94,521
Matthews International CorpCommon Stock5771281011,067,286173,313SHSOLE 0 0 173,313
Immersion CorpCommon Stock4525211072,866,942171,879SHSOLE48,427 0 123,452
MasterCraft Boat Holdings IncCommon Stock57637H1031,179,217170,901SHSOLE79,813 0 91,088
Harvard Bioscience IncCommon Stock4169061051,535,741169,321SHSOLE79,075 0 90,246
Nerdy IncCommon Stock64081V1091,369,644163,833SHSOLE76,511 0 87,322
Cadence Design Systems IncCommon Stock1273871082,978,624163,481SHSOLE49,702 0 113,779
Pangaea Logistics Solutions LtdCommon StockG6891L1051,962,439162,723SHSOLE50,459 0 112,264
Wabash National CorpCommon Stock9295661073,120,286159,036SHSOLE27,036 0 132,000
Aurinia Pharmaceuticals IncCommon Stock05156V1022,089,598156,407SHSOLE45,989 0 110,418
Old Dominion Freight Line IncCommon Stock6795801003,416,061150,421SHSOLE28,274 0 122,147
First Solar IncCommon Stock3364331072,646,755149,029SHSOLE26,475 0 122,554
Ocular Therapeutix IncCommon Stock67576A1001,067,815146,276SHSOLE68,294 0 77,982
FTAI Aviation LtdCommon StockG3730V105982,503141,636SHSOLE 0 0 141,636
NerdWallet IncCommon Stock64082B1022,259,149139,626SHSOLE23,328 0 116,298
Sanken Electric Co LtdCommon Stock01749D1052,023,490139,551SHSOLE65,140 0 74,411
Avita Medical IncCommon Stock05380C102883,712135,409SHSOLE 0 0 135,409
Rambus IncCommon Stock750917106939,754134,059SHSOLE62,577 0 71,482
Churchill Downs IncCommon Stock1714841082,582,630133,815SHSOLE23,190 0 110,625
Motorola Solutions IncCommon Stock6200763073,077,820133,528SHSOLE21,275 0 112,253
Potbelly CorpCommon Stock73754Y1001,530,469129,921SHSOLE60,674 0 69,247
Steel Dynamics IncCommon Stock8581191002,245,403128,972SHSOLE23,906 0 105,066
Direct Digital Holdings IncCommon Stock25461T1051,670,224127,693SHSOLE59,634 0 68,059
Kingsway Financial Services IncCommon Stock4969042021,114,236126,036SHSOLE 0 0 126,036
Eyenovia IncCommon Stock30234E104954,637123,818SHSOLE57,803 0 66,015
Olympic Steel IncCommon Stock68162K1062,172,845123,247SHSOLE21,179 0 102,068
Analog Devices IncCommon Stock0326541051,882,998120,705SHSOLE1,151 0 119,554
Shift4 Payments IncCommon Stock82452J1091,207,215114,968SHSOLE 0 0 114,968
BellRing Brands IncCommon Stock07831C1031,080,454113,629SHSOLE 0 0 113,629
Civitas Resources IncCommon Stock17888H1031,008,404111,090SHSOLE 0 0 111,090
Borr Drilling LtdCommon StockG1466R1733,213,514104,301SHSOLE20,788 0 83,513
Perma-Fix Environmental Services IncCommon Stock7141572031,396,312103,815SHSOLE48,483 0 55,332
Universal Insurance Holdings IncCommon Stock91359V1071,615,464101,922SHSOLE47,598 0 54,324
Commercial Vehicle Group IncCommon Stock2026081051,466,733100,668SHSOLE47,015 0 53,653
Madrigal Pharmaceuticals IncCommon Stock5588681051,673,830100,470SHSOLE46,921 0 53,549
Superior Industries International IncCommon Stock8681681053,684,77797,275SHSOLE15,345 0 81,930
Meta Platforms IncCommon Stock30303M1021,778,93796,892SHSOLE17,945 0 78,947
Accuray IncCommon Stock0043971052,926,73996,306SHSOLE16,119 0 80,187
Silgan Holdings IncCommon Stock8270481091,057,92894,433SHSOLE 0 0 94,433
Transocean LtdCommon StockH8817H1002,859,57992,185SHSOLE25,276 0 66,909
Asbury Automotive Group IncCommon Stock0434361042,255,24791,714SHSOLE13,808 0 77,906
Huatai Securities Co LtdCommon Stock04546L1062,191,62290,079SHSOLE16,682 0 73,397
Flex LtdCommon Stock65290E1012,715,39189,234SHSOLE24,824 0 64,410
Dynatrace IncCommon Stock2681501091,060,44788,077SHSOLE840 0 87,237
Broadwind IncCommon Stock11161T2072,125,21687,099SHSOLE27,220 0 59,879
Krystal Biotech IncCommon Stock5011471021,016,13486,735SHSOLE 0 0 86,735
McGrath RentCorpCommon Stock5805891093,683,69486,492SHSOLE26,655 0 59,837
inTEST CorpCommon Stock4611471001,923,62786,184SHSOLE23,199 0 62,985
Par Pacific Holdings IncCommon Stock69888T207993,11285,761SHSOLE820 0 84,941
elf Beauty IncCommon Stock26856L103330,06485,731SHSOLE40,026 0 45,705
Carpenter Technology CorpCommon Stock1442851032,877,65485,721SHSOLE15,868 0 69,853
C3.ai IncCommon Stock12468P1041,990,90185,667SHSOLE23,800 0 61,867
New Relic IncCommon Stock64829B1001,527,08184,885SHSOLE39,628 0 45,257
Aviat Networks IncCommon Stock05366Y201903,68582,453SHSOLE786 0 81,667
Reliance Steel & Aluminum CoCommon Stock7595091022,041,17181,549SHSOLE778 0 80,771
Intevac IncCommon Stock4611481082,573,74079,905SHSOLE14,664 0 65,241
Visteon CorpCommon Stock92839U2062,003,73178,763SHSOLE12,397 0 66,366
Iteris IncCommon Stock46564T1072,430,90578,391SHSOLE13,854 0 64,537
Deerfield Management Co LPCommon Stock670703107452,83577,144SHSOLE36,027 0 41,117
Parker-Hannifin CorpCommon Stock7010941042,662,57376,117SHSOLE13,135 0 62,982
LiveOne IncCommon Stock53814X102244,86975,577SHSOLE35,283 0 40,294
Diamond Offshore Drilling IncCommon Stock25271C2012,628,48374,971SHSOLE13,099 0 61,872
Broadcom IncCommon Stock11135F1012,111,56373,548SHSOLE34,339 0 39,209
Atkore IncCommon Stock047649108959,31672,129SHSOLE33,685 0 38,444
Newpark Resources IncCommon Stock6517185042,695,76471,734SHSOLE13,500 0 58,234
Microchip Technology IncCommon Stock5950171041,843,16769,292SHSOLE12,407 0 56,885
Agilysys IncCommon Stock00847J1051,142,18068,476SHSOLE653 0 67,823
Build-A-Bear Workshop IncCommon Stock1200761042,168,55664,733SHSOLE10,688 0 54,045
ORIC Pharmaceuticals IncCommon Stock68622P1091,106,03563,202SHSOLE603 0 62,599
Helix Energy Solutions Group IncCommon Stock42330P1073,423,63363,155SHSOLE11,640 0 51,515
WESCO International IncCommon Stock95082P105408,81562,798SHSOLE599 0 62,199
Powell Industries IncCommon Stock7391281063,271,53162,661SHSOLE19,811 0 42,850
Crawford & CoCommon Stock2246332062,811,59562,466SHSOLE18,124 0 44,342
Cymabay Therapeutics IncCommon Stock23257D1031,821,46556,903SHSOLE10,588 0 46,315
Tidewater IncCommon Stock88642R1091,915,56056,340SHSOLE17,411 0 38,929
Axon Enterprise IncCommon Stock05464C1011,880,13854,560SHSOLE25,473 0 29,087
Alphatec Holdings IncCommon Stock02081G201909,09354,159SHSOLE 0 0 54,159
Crane Holdings CoCommon Stock2244411054,342,91452,635SHSOLE7,542 0 45,093
Life Time Group Holdings IncCommon Stock53190C102851,77252,466SHSOLE 0 0 52,466
Eaton Corp PLCCommon StockG291831031,269,11352,218SHSOLE 0 0 52,218
Axcelis Technologies IncCommon Stock0545402082,040,08251,700SHSOLE16,027 0 35,673
Boeing Co/TheCommon Stock0970231051,913,16050,909SHSOLE14,115 0 36,794
Flux Power Holdings IncCommon Stock3440573021,613,56750,789SHSOLE15,700 0 35,089
Fastly IncCommon Stock31188V1001,214,20050,342SHSOLE 0 0 50,342
Verrica Pharmaceuticals IncCommon Stock92511W1081,868,86549,863SHSOLE9,594 0 40,269
Commercial Metals CoCommon Stock2017231031,286,74149,414SHSOLE23,063 0 26,351
Viemed Healthcare IncCommon Stock92663R1051,131,45648,875SHSOLE15,161 0 33,714
Asure Software IncCommon Stock04649U1023,003,17148,493SHSOLE14,970 0 33,523
PDF Solutions IncCommon Stock6932821051,262,13048,376SHSOLE461 0 47,915
Orion Engineered Carbons SACommon StockL729671093,653,67048,246SHSOLE6,518 0 41,728
BlackRock IncFunds - Equities ETF46429B6142,037,73845,864SHSOLE8,273 0 37,591
TransDigm Group IncCommon Stock8936411002,006,16945,512SHSOLE8,500 0 37,012
Overseas Shipholding Group IncCommon Stock69036R8631,232,72645,510SHSOLE 0 0 45,510
Squarespace IncCommon Stock85225A1071,140,12744,978SHSOLE 0 0 44,978
nVent Electric PLCCommon StockG6700G1071,709,72544,687SHSOLE8,127 0 36,560
Beacon Roofing Supply IncCommon Stock073685109826,39444,516SHSOLE 0 0 44,516
Astronics CorpCommon Stock0464331081,019,15442,856SHSOLE 0 0 42,856
Howmet Aerospace IncCommon Stock4432011082,033,91242,382SHSOLE13,140 0 29,242
TG Therapeutics IncCommon Stock88322Q108 0 41,609SHSOLE13,390 0 28,219
Omnicom Group IncCommon Stock6819191061,020,27841,497SHSOLE 0 0 41,497
Samsara IncCommon Stock79589L106963,45241,246SHSOLE 0 0 41,246
Five Below IncCommon Stock33829M1011,311,16141,237SHSOLE 0 0 41,237
Green Brick Partners IncCommon Stock3927091012,861,74739,418SHSOLE7,075 0 32,343
CPI Card Group IncCommon Stock12634H2001,236,58339,319SHSOLE375 0 38,944
Regeneron Pharmaceuticals IncCommon Stock75886F1072,008,21339,177SHSOLE12,151 0 27,026
EDAP TMS SACommon Stock268311107770,77838,462SHSOLE17,962 0 20,500
Huron Consulting Group IncCommon Stock4474621021,566,26337,970SHSOLE17,723 0 20,247
Mondelez International IncCommon Stock609207105874,78537,496SHSOLE 0 0 37,496
Insight Enterprises IncCommon Stock45765U1035,062,07937,353SHSOLE4,927 0 32,426
O-I Glass IncCommon Stock67098H1041,589,68237,021SHSOLE11,472 0 25,549
Vita Coco Co Inc/TheCommon Stock92846Q1071,542,36436,934SHSOLE17,244 0 19,690
RLI CorpCommon Stock7496071071,752,48136,156SHSOLE6,420 0 29,736
NewView Capital Management LLCCommon Stock26603R106928,86635,566SHSOLE 0 0 35,566
Paysign IncCommon Stock70451A1041,273,14135,513SHSOLE340 0 35,173
Collegium Pharmaceutical IncCommon Stock19459J1041,869,68035,085SHSOLE16,385 0 18,700
KLX Energy Services Holdings IncCommon Stock48253L2052,822,87634,279SHSOLE6,317 0 27,962
CDW Corp/DECommon Stock12514G108996,48934,229SHSOLE 0 0 34,229
Stagwell IncCommon Stock85256A1092,522,14632,909SHSOLE5,879 0 27,030
Workday IncCommon Stock98138H1011,932,02132,553SHSOLE5,977 0 26,576
Insulet CorpCommon Stock45784P101910,63032,362SHSOLE 0 0 32,362
DHT Holdings IncCommon StockY2065G1212,109,92432,336SHSOLE9,999 0 22,337
Pliant Therapeutics IncCommon Stock7291391051,264,97731,960SHSOLE 0 0 31,960
Hims & Hers Health IncCommon Stock4330001061,945,15431,893SHSOLE6,120 0 25,773
Advent International CorpCommon Stock84612U1071,514,63931,687SHSOLE9,789 0 21,898
Enova International IncCommon Stock29357K1031,249,48131,481SHSOLE9,730 0 21,751
Super Micro Computer IncCommon Stock86800U1041,025,02030,519SHSOLE 0 0 30,519
UFP Technologies IncCommon Stock902673102934,16630,287SHSOLE 0 0 30,287
RenaissanceRe Holdings LtdCommon StockG7496G1033,241,17130,201SHSOLE4,690 0 25,511
MYR Group IncCommon Stock55405W104999,06430,056SHSOLE 0 0 30,056
Booking Holdings IncCommon Stock09857L108728,29230,040SHSOLE 0 0 30,040
Xponential Fitness IncCommon Stock98422X1011,388,72629,623SHSOLE9,145 0 20,478
Ardelyx IncCommon Stock0396971072,111,16429,277SHSOLE9,046 0 20,231
BGC Partners IncCommon Stock05541T1013,889,56829,190SHSOLE5,712 0 23,478
Builders FirstSource IncCommon Stock12008R1071,455,64129,177SHSOLE278 0 28,899
Netflix IncCommon Stock64110L106859,79227,983SHSOLE 0 0 27,983
Sterling Infrastructure IncCommon Stock8592411011,548,06427,883SHSOLE8,609 0 19,274
MarketAxess Holdings IncCommon Stock57060D108724,10227,754SHSOLE265 0 27,489
Hyster-Yale Materials Handling IncCommon Stock4491721052,220,38227,627SHSOLE4,919 0 22,708
Arlo Technologies IncCommon Stock04206A1012,639,32527,232SHSOLE4,845 0 22,387
Wynn Resorts LtdCommon Stock9831341073,124,46026,935SHSOLE4,919 0 22,016
Bel Fuse IncCommon Stock0773473001,150,01126,526SHSOLE 0 0 26,526
Ulta Beauty IncCommon Stock90384S3031,524,50925,905SHSOLE8,008 0 17,897
Exxon Mobil CorpCommon Stock30231G102929,34425,630SHSOLE244 0 25,386
WW Grainger IncCommon Stock3848021041,347,33225,104SHSOLE7,760 0 17,344
Griffon CorpCommon Stock3984331021,900,83725,077SHSOLE7,772 0 17,305
ANSYS IncCommon Stock03662Q1051,979,64424,727SHSOLE4,708 0 20,019
Terns Pharmaceuticals IncCommon Stock8808811071,059,68424,684SHSOLE235 0 24,449
Lattice Semiconductor CorpCommon Stock5184151042,010,50124,352SHSOLE7,522 0 16,830
IBEX Holdings LtdCommon StockG4690M101966,96324,236SHSOLE 0 0 24,236
Akero Therapeutics IncCommon Stock00973Y1081,083,22123,907SHSOLE 0 0 23,907
Graham CorpCommon Stock3845561061,781,59723,682SHSOLE7,319 0 16,363
Comfort Systems USA IncCommon Stock1999081041,507,44422,058SHSOLE6,816 0 15,242
Progressive Corp/TheCommon Stock7433151032,798,82621,859SHSOLE10,208 0 11,651
PulteGroup IncCommon Stock7458671011,253,04221,811SHSOLE208 0 21,603
Scorpio Tankers IncCommon StockY7542C1302,068,00621,388SHSOLE6,609 0 14,779
Climb Global Solutions IncCommon Stock9467601051,498,65920,972SHSOLE6,502 0 14,470
NeoGenomics IncCommon Stock64049M2092,614,27320,676SHSOLE6,410 0 14,266
Sarepta Therapeutics IncCommon Stock803607100893,75720,566SHSOLE 0 0 20,566
NIKE IncCommon Stock6541061031,497,89519,895SHSOLE6,167 0 13,728
Limoneira CoCommon Stock5327461041,857,66619,452SHSOLE6,027 0 13,425
Viking Therapeutics IncCommon Stock92686J1062,415,13217,192SHSOLE5,314 0 11,878
Universal Display CorpCommon Stock91347P1052,079,83317,073SHSOLE5,281 0 11,792
Teekay CorpCommon StockY8564W1031,073,08816,656SHSOLE 0 0 16,656
Yext IncCommon Stock98585N1061,857,93016,602SHSOLE5,138 0 11,464
TransMedics Group IncCommon Stock89377M1091,333,01716,312SHSOLE5,038 0 11,274
Cloudflare IncCommon Stock18915M1071,752,92416,026SHSOLE4,966 0 11,060
Deckers Outdoor CorpCommon Stock2435371071,072,12315,939SHSOLE 0 0 15,939
FTI Consulting IncCommon Stock3029411092,564,20715,771SHSOLE4,875 0 10,896
ATI IncCommon Stock01741R1022,887,44515,679SHSOLE2,801 0 12,878
EMCOR Group IncCommon Stock29084Q1001,521,66615,649SHSOLE 0 0 15,649
Richardson Electronics Ltd/United StatesCommon Stock763165107479,44315,352SHSOLE7,169 0 8,183
Northwest Pipe CoCommon Stock6677461012,058,42914,436SHSOLE4,458 0 9,978
Intapp IncCommon Stock45827U1092,009,16014,054SHSOLE4,358 0 9,696
Voya Financial IncCommon Stock9290891001,187,93012,731SHSOLE121 0 12,610
Iridium Communications IncCommon Stock46269C1021,598,49311,238SHSOLE3,473 0 7,765
Vertex IncCommon Stock92538J1061,403,79310,448SHSOLE3,241 0 7,207
ARS Pharmaceuticals IncCommon Stock82835W1081,208,3779,989SHSOLE 0 0 9,989
Natera IncCommon Stock6323071041,248,8859,911SHSOLE94 0 9,817
Crocs IncCommon Stock2270461091,084,8339,558SHSOLE2,952 0 6,606
WillScot Mobile Mini Holdings CorpCommon Stock9713781041,271,7788,921SHSOLE2,764 0 6,157
Materion CorpCommon Stock5766901011,266,3838,319SHSOLE 0 0 8,319
John B Sanfilippo & Son IncCommon Stock8004221071,063,8128,004SHSOLE2,473 0 5,531
Third Rock Ventures LLCCommon Stock92915B1061,420,0206,762SHSOLE2,097 0 4,665
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