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:
09-30-2021
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]
11-11-2021
                           [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:
274
Form 13F Information table Value Total:
592525
          (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
VistaGen Therapeutics IncCommon Stock92840H2022,309842,545SHSOLE128,672 0 713,873
Healthcare Ventures LLCCommon Stock52187K1013,113776,329SHSOLE120,132 0 656,197
PAVmed IncCommon Stock70387R1066,571769,387SHSOLE85,719 0 683,668
Globalstar IncCommon Stock3789734081,270760,324SHSOLE32,298 0 728,026
Performant Financial CorpCommon Stock71377E1052,519636,227SHSOLE106,498 0 529,729
Safe Bulkers IncCommon StockY7388L1033,103600,118SHSOLE92,938 0 507,180
Ur-Energy IncCommon Stock91688R1081,031599,419SHSOLE187,308 0 412,111
Entravision Communications CorpCommon Stock29382R1074,021566,373SHSOLE110,237 0 456,136
Pixelworks IncCommon Stock72581M3052,696563,950SHSOLE88,130 0 475,820
Hudson Technologies IncCommon Stock4441441091,909540,876SHSOLE168,513 0 372,363
Information Services Group IncCommon Stock45675Y1043,510488,888SHSOLE91,816 0 397,072
Cinedigm CorpCommon Stock1724062091,222486,659SHSOLE152,131 0 334,528
Aehr Test SystemsCommon Stock00760J1085,689416,763SHSOLE79,097 0 337,666
Energy Fuels Inc/CanadaCommon Stock2926717082,897412,614SHSOLE11,463 0 401,151
DHI Group IncCommon Stock23331S1001,838386,141SHSOLE120,340 0 265,801
Amplify Energy CorpCommon Stock03212B1031,994374,839SHSOLE107,430 0 267,409
PLx Pharma IncCommon Stock72942A1077,179371,965SHSOLE45,821 0 326,144
Harmonic IncCommon Stock4131601022,928334,652SHSOLE9,689 0 324,963
Pangaea Logistics Solutions LtdCommon StockG6891L1051,665329,752SHSOLE103,067 0 226,685
Houghton Mifflin Harcourt CoCommon Stock44157R1094,289319,390SHSOLE8,314 0 311,076
Yorktown Partners LLCCommon Stock75134P3033,908317,434SHSOLE58,055 0 259,379
A10 Networks IncCommon Stock0021211014,195311,218SHSOLE8,408 0 302,810
Pieris Pharmaceuticals IncCommon Stock7207951031,491288,459SHSOLE90,160 0 198,299
Evolution Petroleum CorpCommon Stock30049A1071,618284,835SHSOLE88,758 0 196,077
Stagwell IncCommon Stock85256A1092,159281,455SHSOLE87,994 0 193,461
aTyr Pharma IncCommon Stock0021202022,359259,791SHSOLE48,656 0 211,135
PDS Biotechnology CorpCommon Stock70465T1073,856258,769SHSOLE47,148 0 211,621
Huttig Building Products IncCommon Stock4484511041,360255,582SHSOLE79,906 0 175,676
Lantronix IncCommon Stock5165482031,445248,360SHSOLE77,385 0 170,975
Clearside Biomedical IncCommon Stock1850631041,485247,561SHSOLE77,065 0 170,496
Quest Resource Holding CorpCommon Stock74836W2031,433235,707SHSOLE73,348 0 162,359
IVERIC bio IncCommon Stock46583P1023,818235,087SHSOLE6,871 0 228,216
Gogo IncCommon Stock38046C1093,803219,811SHSOLE6,387 0 213,424
Identiv IncCommon Stock45170X2054,095217,375SHSOLE36,317 0 181,058
Dynavax Technologies CorpCommon Stock2681582014,138215,420SHSOLE5,332 0 210,088
Apollo Endosurgery IncCommon Stock03767D1081,900209,706SHSOLE65,337 0 144,369
Urban-Gro IncCommon Stock91704K2022,626197,592SHSOLE36,625 0 160,967
Eastside Distilling IncCommon Stock277802302504193,773SHSOLE60,241 0 133,532
Everi Holdings IncCommon Stock30034T1034,684193,733SHSOLE4,739 0 188,994
Build-A-Bear Workshop IncCommon Stock1200761043,237191,076SHSOLE32,059 0 159,017
Innodata IncCommon Stock4576422051,811189,995SHSOLE59,201 0 130,794
Independence Realty Trust IncCommon Stock45378A1063,832188,323SHSOLE5,382 0 182,941
VirTra IncCommon Stock92827K3011,867184,130SHSOLE57,390 0 126,740
Agenus IncCommon Stock00847G705962183,238SHSOLE2,434 0 180,804
Manning & Napier IncCommon Stock56382Q1021,637179,305SHSOLE56,071 0 123,234
Tilly's IncCommon Stock8868851022,489177,637SHSOLE32,648 0 144,989
Beauty Health Co/TheCommon Stock88331L1084,489172,870SHSOLE4,727 0 168,143
LSB Industries IncCommon Stock5021601041,751171,507SHSOLE53,589 0 117,918
Harvard Bioscience IncCommon Stock4169061051,191170,580SHSOLE53,117 0 117,463
Genco Shipping & Trading LtdCommon StockY2685T1313,364167,123SHSOLE27,185 0 139,938
BioCryst Pharmaceuticals IncCommon Stock09058V1032,347163,324SHSOLE4,748 0 158,576
iStar IncCommon Stock45031U1014,076162,514SHSOLE4,731 0 157,783
RF Industries LtdCommon Stock7495521051,197148,337SHSOLE46,172 0 102,165
SandRidge Energy IncCommon Stock80007P8691,850142,179SHSOLE44,299 0 97,880
Grid Dynamics Holdings IncCommon Stock39813G1094,020137,579SHSOLE3,771 0 133,808
PFSweb IncCommon Stock7170982061,713132,818SHSOLE41,375 0 91,443
WideOpenWest IncCommon Stock96758W1012,527128,577SHSOLE3,802 0 124,775
Apyx Medical CorpCommon Stock03837C1061,781128,560SHSOLE40,074 0 88,486
LendingClub CorpCommon Stock52603A2083,607127,709SHSOLE3,526 0 124,183
Covenant Logistics Group IncCommon Stock22284P1053,309119,679SHSOLE21,027 0 98,652
Townsquare Media IncCommon Stock8922311011,551118,634SHSOLE36,947 0 81,687
Agrify CorpCommon Stock00853E1072,192118,209SHSOLE18,984 0 99,225
SigmaTron International IncCommon Stock82661L1011,048117,972SHSOLE36,864 0 81,108
Amtech Systems IncCommon Stock0323325041,344117,582SHSOLE36,612 0 80,970
Beyond Air IncCommon Stock08862L1031,296116,558SHSOLE36,436 0 80,122
Costamare IncCommon StockY1771G1021,750112,999SHSOLE1,504 0 111,495
Cytokinetics IncCommon Stock23282W6053,952110,574SHSOLE3,186 0 107,388
Gambling.com Group LtdCommon StockG3R239101959105,031SHSOLE 0 0 105,031
LS Starrett Co/TheCommon Stock8556681091,286102,998SHSOLE32,189 0 70,809
Green Plains IncCommon Stock3932221043,339102,267SHSOLE2,621 0 99,646
Inspired Entertainment IncCommon Stock45782N1081,186101,353SHSOLE31,539 0 69,814
ONE Group Hospitality Inc/TheCommon Stock88338K1031,080101,011SHSOLE31,429 0 69,582
Aspen Aerogels IncCommon Stock04523Y1054,57299,366SHSOLE2,464 0 96,902
Mueller Water Products IncCommon Stock6247581081,50799,026SHSOLE1,318 0 97,708
JAKKS Pacific IncCommon Stock47012E4031,16598,030SHSOLE30,531 0 67,499
Superior Industries International IncCommon Stock86816810569197,961SHSOLE30,623 0 67,338
Inotiv IncCommon Stock45783Q1002,80195,797SHSOLE14,988 0 80,809
Donnelley Financial Solutions IncCommon Stock25787G1003,30595,473SHSOLE2,733 0 92,740
Switch IncCommon Stock87105L1042,41194,943SHSOLE4,035 0 90,908
Cross Country Healthcare IncCommon Stock2274831041,96592,511SHSOLE1,233 0 91,278
EnerVest LtdCommon Stock5596631091,63191,674SHSOLE3,878 0 87,796
Friedman Industries IncCommon Stock3584351051,09091,547SHSOLE28,618 0 62,929
Range Resources CorpCommon Stock75281A1092,01088,823SHSOLE3,772 0 85,051
City Office REIT IncCommon Stock1785871011,56887,787SHSOLE1,166 0 86,621
Livent CorpCommon Stock53814L1082,00686,801SHSOLE3,682 0 83,119
Mitek Systems IncCommon Stock6067102001,60286,572SHSOLE1,150 0 85,422
Celldex Therapeutics IncCommon Stock15117B2024,66586,399SHSOLE2,266 0 84,133
TravelCenters of America IncCommon Stock89421B1094,29786,294SHSOLE14,839 0 71,455
Alkermes PLCCommon StockG017671052,65085,923SHSOLE3,648 0 82,275
Zenvia IncCommon StockG9889V1011,16284,545SHSOLE 0 0 84,545
OptimizeRx CorpCommon Stock68401U2047,22784,481SHSOLE7,498 0 76,983
Cedar Realty Trust IncCommon Stock1506026051,83184,399SHSOLE26,373 0 58,026
Goodrich Petroleum CorpCommon Stock3824108431,99084,098SHSOLE26,208 0 57,890
Macy's IncCommon Stock55616P1041,87983,160SHSOLE3,513 0 79,647
WillScot Mobile Mini Holdings CorpCommon Stock9713781042,60282,025SHSOLE3,488 0 78,537
UMH Properties IncCommon Stock9030021031,85080,807SHSOLE1,075 0 79,732
Skyline Champion CorpCommon Stock8308301054,83180,441SHSOLE2,400 0 78,041
Kura Sushi USA IncCommon Stock5012701023,48479,757SHSOLE14,872 0 64,885
Madison Dearborn Partners LLCCommon Stock68404L2011,91678,998SHSOLE3,349 0 75,649
Lifetime Brands IncCommon Stock53222Q1031,41978,035SHSOLE24,291 0 53,744
Platinum Equity LLCCommon Stock7837541041,71176,823SHSOLE1,021 0 75,802
North American Construction Group LtdCommon Stock6568111061,10575,882SHSOLE 0 0 75,882
B Riley Financial IncCommon Stock02128L1061,02674,745SHSOLE23,356 0 51,389
Fog Cutter Capital Group IncCommon Stock30258N10569574,559SHSOLE23,297 0 51,262
Northern Oil and Gas IncCommon Stock6655313071,59174,359SHSOLE987 0 73,372
A-Mark Precious Metals IncCommon Stock00181T1074,43173,831SHSOLE12,631 0 61,200
BBQ Holdings IncCommon Stock05551A1091,10773,392SHSOLE22,815 0 50,577
Zedge IncCommon Stock98923T10497472,939SHSOLE22,792 0 50,147
Metrocity Bankshares IncCommon Stock59165J1051,51372,143SHSOLE22,542 0 49,601
Century Casinos IncCommon Stock15649210097172,070SHSOLE22,409 0 49,661
TimkenSteel CorpCommon Stock88739910393771,612SHSOLE22,376 0 49,236
Ideal Power IncCommon Stock4516222031,06569,986SHSOLE21,868 0 48,118
Clearfield IncCommon Stock18482P1033,06869,499SHSOLE12,279 0 57,220
Opiant Pharmaceuticals IncCommon Stock6837501031,77769,046SHSOLE21,479 0 47,567
Regional Management CorpCommon Stock75902K1064,00968,899SHSOLE11,517 0 57,382
American Software Inc/GACommon Stock0296831091,59567,164SHSOLE895 0 66,269
Energy Holding CorpCommon StockG872641001,45366,881SHSOLE 0 0 66,881
Oramed Pharmaceuticals IncCommon Stock68403P2031,45966,392SHSOLE20,657 0 45,735
CyberOptics CorpCommon Stock2325171022,32365,277SHSOLE11,624 0 53,653
Prothena Corp PLCCommon StockG728001084,60564,650SHSOLE1,716 0 62,934
Evolent Health IncCommon Stock30050B1011,99064,209SHSOLE853 0 63,356
Calix IncCommon Stock13100M5093,16964,112SHSOLE1,750 0 62,362
Bluegreen Vacations Holding CorpCommon Stock0963081011,63263,265SHSOLE842 0 62,423
Brightsphere Investment Group IncCommon Stock10948W1031,61861,925SHSOLE823 0 61,102
Juniper Capital Advisors LPCommon Stock70788V1021,56758,753SHSOLE9,595 0 49,158
Transcat IncCommon Stock8935291073,74758,118SHSOLE10,091 0 48,027
Sanken Electric Co LtdCommon Stock01749D1051,82957,237SHSOLE2,434 0 54,803
Matador Resources CoCommon Stock5764852052,15756,698SHSOLE2,407 0 54,291
Fulcrum Therapeutics IncCommon Stock3596161091,56255,383SHSOLE737 0 54,646
Karat Packaging IncCommon Stock48563L1011,15254,758SHSOLE17,114 0 37,644
California Resources CorpCommon Stock13057Q3052,22654,294SHSOLE2,306 0 51,988
BRP Group IncCommon Stock05589G1021,77953,452SHSOLE2,270 0 51,182
Liquidity Services IncCommon Stock53635B1071,13752,622SHSOLE699 0 51,923
SEMrush Holdings IncCommon Stock81686C1041,21052,455SHSOLE2,230 0 50,225
Anterix IncCommon Stock03676C1003,11951,390SHSOLE1,364 0 50,026
Cerevel Therapeutics Holdings IncCommon Stock15678U1281,48450,318SHSOLE2,141 0 48,177
General Atlantic LPCommon Stock29882P1061,40550,165SHSOLE666 0 49,499
Centrus Energy CorpCommon Stock15643U1041,90749,328SHSOLE15,416 0 33,912
Plymouth Industrial REIT IncCommon Stock7296401021,12049,244SHSOLE654 0 48,590
Capital Bancorp IncCommon Stock1397371001,17648,895SHSOLE15,200 0 33,695
Boot Barn Holdings IncCommon Stock0994061004,25947,924SHSOLE1,454 0 46,470
Lantheus Holdings IncCommon Stock5165441031,23147,924SHSOLE637 0 47,287
Lattice Semiconductor CorpCommon Stock5184151043,09247,834SHSOLE2,027 0 45,807
iRadimed CorpCommon Stock46266A1091,59747,547SHSOLE14,857 0 32,690
Veritiv CorpCommon Stock9234541024,14846,314SHSOLE1,344 0 44,970
Iridium Communications IncCommon Stock46269C1021,83145,942SHSOLE1,951 0 43,991
Clarus CorpCommon Stock18270P1091,15945,204SHSOLE600 0 44,604
AdvanSix IncCommon Stock00773T1011,78344,866SHSOLE596 0 44,270
CPI Card Group IncCommon Stock12634H2001,55144,686SHSOLE13,921 0 30,765
Fluent IncCommon Stock75704L1041,15144,592SHSOLE13,889 0 30,703
Movado Group IncCommon Stock6245801061,39844,387SHSOLE591 0 43,796
Northeast BankCommon Stock66405S1001,48143,927SHSOLE13,722 0 30,205
PAM Transportation Services IncCommon Stock6931491061,96843,744SHSOLE13,674 0 30,070
BJ's Wholesale Club Holdings IncCommon Stock05550J1012,39543,603SHSOLE1,846 0 41,757
MaxLinear IncCommon Stock57776J1002,12143,074SHSOLE1,826 0 41,248
StepStone Group IncCommon Stock85914M1071,83443,005SHSOLE1,822 0 41,183
Ikonics CorpCommon Stock45172K1021,20842,835SHSOLE13,390 0 29,445
Ranpak Holdings CorpCommon Stock75321W1031,14742,771SHSOLE568 0 42,203
Atlas Air Worldwide Holdings IncCommon Stock0491642053,47142,492SHSOLE1,231 0 41,261
Tempur Sealy International IncCommon Stock88023U1011,92541,480SHSOLE1,755 0 39,725
RAPT Therapeutics IncCommon Stock75382E1091,24240,000SHSOLE1,704 0 38,296
Alcoa CorpCommon Stock0138721061,94539,736SHSOLE1,689 0 38,047
PDC Energy IncCommon Stock69327R1011,86039,252SHSOLE1,669 0 37,583
Rexnord CorpCommon Stock76169B1022,47738,530SHSOLE1,614 0 36,916
Insteel Industries IncCommon Stock45774W1081,44938,083SHSOLE506 0 37,577
National Vision Holdings IncCommon Stock63845R1072,13437,593SHSOLE1,594 0 35,999
Napco Security Technologies IncCommon Stock6304021051,61837,555SHSOLE499 0 37,056
Carriage Services IncCommon Stock1439051071,67137,482SHSOLE499 0 36,983
Thryv Holdings IncCommon Stock8860292061,12237,354SHSOLE497 0 36,857
Varonis Systems IncCommon Stock9222801022,24236,848SHSOLE1,564 0 35,284
Maravai LifeSciences Holdings IncCommon Stock56600D1071,80136,703SHSOLE1,557 0 35,146
Precision Drilling CorpCommon Stock74022D4071,46636,271SHSOLE 0 0 36,271
Shyft Group Inc/TheCommon Stock8256981031,36635,944SHSOLE477 0 35,467
Nutanix IncCommon Stock67059N1081,35235,872SHSOLE1,520 0 34,352
Golden Entertainment IncCommon Stock3810131011,75735,801SHSOLE476 0 35,325
Customers Bancorp IncCommon Stock23204G1001,53435,668SHSOLE474 0 35,194
Red Rock Resorts IncCommon Stock75700L1081,81135,358SHSOLE1,497 0 33,861
Denbury IncCommon Stock24790A1012,47835,267SHSOLE1,045 0 34,222
Gentherm IncCommon Stock37253A1032,82134,862SHSOLE981 0 33,881
Mimecast LtdCommon StockG148381092,19234,464SHSOLE1,462 0 33,002
Coastal Financial Corp/WACommon Stock19046P2091,09134,245SHSOLE10,651 0 23,594
Franklin Covey CoCommon Stock3534691091,39534,204SHSOLE455 0 33,749
Kulicke & Soffa Industries IncCommon Stock5012421011,96233,671SHSOLE1,426 0 32,245
PASL Holding LLCCommon Stock5917741042,81433,379SHSOLE5,248 0 28,131
Axcelis Technologies IncCommon Stock0545402081,53232,575SHSOLE433 0 32,142
Montrose Environmental Group IncCommon Stock6151111011,93931,413SHSOLE417 0 30,996
KKR & Co IncCommon Stock00402L1071,25231,252SHSOLE1,323 0 29,929
Progress Software CorpCommon Stock7433121001,50930,671SHSOLE407 0 30,264
Olin CorpCommon Stock6806652051,42829,598SHSOLE1,256 0 28,342
Adagio Therapeutics IncCommon Stock00534A1021,23729,289SHSOLE1,244 0 28,045
NexPoint Residential Trust IncCommon Stock65341D1021,77128,616SHSOLE381 0 28,235
Perficient IncCommon Stock71375U1013,30328,547SHSOLE835 0 27,712
Otter Tail CorpCommon Stock6896481031,58128,251SHSOLE376 0 27,875
Celsius Holdings IncCommon Stock15118V2072,53328,112SHSOLE1,190 0 26,922
Stock Yards Bancorp IncCommon Stock8610251041,64328,015SHSOLE372 0 27,643
MVB Financial CorpCommon Stock5538101021,18627,690SHSOLE8,621 0 19,069
Korn FerryCommon Stock5006432001,98427,418SHSOLE1,164 0 26,254
Axonics IncCommon Stock05465P1011,76427,094SHSOLE1,146 0 25,948
Altair Engineering IncCommon Stock0213691031,84226,720SHSOLE1,159 0 25,561
Vocera Communications IncCommon Stock92857F1071,22026,660SHSOLE354 0 26,306
Power Integrations IncCommon Stock7392761032,63326,597SHSOLE1,115 0 25,482
Cerberus Capital Management LPCommon Stock09624H2081,29626,507SHSOLE8,254 0 18,253
ServisFirst Bancshares IncCommon Stock81768T1082,05626,424SHSOLE1,123 0 25,301
TaskUS IncCommon Stock87652V1091,75226,391SHSOLE1,118 0 25,273
Triumph Bancorp IncCommon Stock89679E3002,63026,262SHSOLE688 0 25,574
National Storage Affiliates TrustCommon Stock6378701061,37826,107SHSOLE1,105 0 25,002
Herc Holdings IncCommon Stock42704L1044,23325,896SHSOLE797 0 25,099
OrthoPediatrics CorpCommon Stock68752L1001,66325,379SHSOLE338 0 25,041
UFP Technologies IncCommon Stock9026731021,54425,070SHSOLE7,837 0 17,233
Signet Jewelers LtdCommon StockG812761001,97124,960SHSOLE1,061 0 23,899
Cimarex Energy CoCommon Stock1717981012,14524,596SHSOLE1,040 0 23,556
Rapid7 IncCommon Stock7534221042,74124,253SHSOLE1,030 0 23,223
Asana IncCommon Stock04342Y1042,46723,760SHSOLE1,005 0 22,755
Morphic Holding IncCommon Stock61775R1051,29922,933SHSOLE305 0 22,628
Atkore IncCommon Stock0476491081,99322,928SHSOLE973 0 21,955
Matson IncCommon Stock57686G1051,83222,694SHSOLE965 0 21,729
Onto Innovation IncCommon Stock6833441051,60322,187SHSOLE947 0 21,240
Biohaven Pharmaceutical Holding Co LtdCommon StockG111961053,05421,989SHSOLE936 0 21,053
CRA International IncCommon Stock12618T1052,17421,882SHSOLE291 0 21,591
AMN Healthcare Services IncCommon Stock0017441012,50321,815SHSOLE927 0 20,888
DigitalOcean Holdings IncCommon Stock25402D1021,68921,760SHSOLE925 0 20,835
YETI Holdings IncCommon Stock98585X1041,85321,630SHSOLE920 0 20,710
Diodes IncCommon Stock2545431011,95021,530SHSOLE914 0 20,616
Globus Medical IncCommon Stock3795772081,63221,305SHSOLE901 0 20,404
Cutera IncCommon Stock23210910899321,304SHSOLE283 0 21,021
Sprout Social IncCommon Stock85209W1092,59321,265SHSOLE902 0 20,363
MYR Group IncCommon Stock55405W1042,09321,032SHSOLE280 0 20,752
FabrinetCommon StockG3323L1002,09420,425SHSOLE866 0 19,559
Workiva IncCommon Stock98139A1052,86620,335SHSOLE865 0 19,470
Gulfport Energy Operating CorpCommon Stock4026355021,66620,270SHSOLE269 0 20,001
Crocs IncCommon Stock2270461092,88620,111SHSOLE849 0 19,262
HCI Group IncCommon Stock40416E1032,21620,004SHSOLE266 0 19,738
Penske Automotive Group IncCommon Stock70959W1031,95219,405SHSOLE824 0 18,581
Tenet Healthcare CorpCommon Stock88033G4071,26519,045SHSOLE808 0 18,237
Scientific Games CorpCommon Stock80874P1091,57919,004SHSOLE807 0 18,197
Ambarella IncCommon StockG037AX1012,88018,494SHSOLE784 0 17,710
Avis Budget Group IncCommon Stock0537741052,15118,465SHSOLE784 0 17,681
WESCO International IncCommon Stock95082P1052,11718,355SHSOLE784 0 17,571
Papa John's International IncCommon Stock6988131022,30918,183SHSOLE772 0 17,411
ExlService Holdings IncCommon Stock3020811042,20117,876SHSOLE760 0 17,116
Intellia Therapeutics IncCommon Stock45826J1052,37217,682SHSOLE747 0 16,935
Arvinas IncCommon Stock04335A1051,40917,145SHSOLE727 0 16,418
Encore Wire CorpCommon Stock2925621051,62017,086SHSOLE227 0 16,859
Vicor CorpCommon Stock9258151022,27316,946SHSOLE710 0 16,236
AutoNation IncCommon Stock05329W1022,00016,425SHSOLE697 0 15,728
Tandem Diabetes Care IncCommon Stock8753722031,86515,622SHSOLE660 0 14,962
STAAR Surgical CoCommon Stock8523123052,00415,595SHSOLE662 0 14,933
CenterspaceCommon Stock15202L1071,47115,570SHSOLE207 0 15,363
Shockwave Medical IncCommon Stock82489T1043,17815,438SHSOLE657 0 14,781
Nova LtdCommon StockM7516K1031,56215,269SHSOLE 0 0 15,269
Novanta IncCommon Stock67000B1042,33215,093SHSOLE641 0 14,452
SPS Commerce IncCommon Stock78463M1072,34114,512SHSOLE617 0 13,895
Manhattan Associates IncCommon Stock5627501092,19814,363SHSOLE612 0 13,751
Apollo Medical Holdings IncCommon Stock03763A2071,29514,227SHSOLE189 0 14,038
Dick's Sporting Goods IncCommon Stock2533931021,62513,566SHSOLE574 0 12,992
Omnicell IncCommon Stock68213N1092,00813,527SHSOLE574 0 12,953
Synaptics IncCommon Stock87157D1092,41213,419SHSOLE571 0 12,848
Murphy USA IncCommon Stock6267551022,22613,306SHSOLE565 0 12,741
Heska CorpCommon Stock42805E3063,25712,599SHSOLE383 0 12,216
Watts Water Technologies IncCommon Stock9427491021,93911,538SHSOLE490 0 11,048
Shutterstock IncCommon Stock8256901001,30311,494SHSOLE488 0 11,006
Chart Industries IncCommon Stock16115Q3082,15411,272SHSOLE477 0 10,795
Power REITCommon Stock73933H10155811,163SHSOLE3,489 0 7,674
CorVel CorpCommon Stock2210061091,97010,579SHSOLE140 0 10,439
SiTime CorpCommon Stock82982T1062,05710,077SHSOLE428 0 9,649
Mesa Laboratories IncCommon Stock59064R1093,0029,930SHSOLE275 0 9,655
Inspire Medical Systems IncCommon Stock4577301092,3279,993SHSOLE425 0 9,568
Group 1 Automotive IncCommon Stock3989051091,7549,337SHSOLE396 0 8,941
World Acceptance CorpCommon Stock9814191041,6788,849SHSOLE117 0 8,732
Kadant IncCommon Stock48282T1041,6468,064SHSOLE107 0 7,957
Globant SACommon StockL443851091,6195,762SHSOLE244 0 5,518
ModivCare IncCommon Stock60783X1041,4898,200SHSOLE109 0 8,091
Cavco Industries IncCommon Stock1495681071,4205,999SHSOLE79 0 5,920
Joint Corp/TheCommon Stock47973J1029379,564SHSOLE2,969 0 6,595