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:
03-31-2024
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]
05-10-2024
                           [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).)



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:
231
Form 13F Information table Value Total:
641709686
          (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
Perspective Therapeutics IncCommon Stock46489V1041,003,362843,161SHSOLE843,161 0 0
ADMA Biologics IncCommon Stock0008991044,105,768622,086SHSOLE115,083 0 507,003
Akebia Therapeutics IncCommon Stock00972D105784,245428,549SHSOLE428,549 0 0
LifeMD IncCommon Stock53216B1044,231,351411,610SHSOLE155,859 0 255,751
Talkspace IncCommon Stock87427V1031,358,574380,553SHSOLE380,315 0 238
Pixelworks IncCommon Stock72581M305981,014380,238SHSOLE380,238 0 0
Hims & Hers Health IncCommon Stock4330001064,636,545299,712SHSOLE55,025 0 244,687
FTAI Aviation LtdCommon Stock35953C1067,371,102283,550SHSOLE208,569 0 74,981
Heron Therapeutics IncCommon Stock427746102760,393274,510SHSOLE274,253 0 257
Stereotaxis IncCommon Stock85916J409715,639274,191SHSOLE274,191 0 0
Honest Co Inc/TheCommon Stock4383331061,101,377271,945SHSOLE271,945 0 0
RealReal Inc/TheCommon Stock88339P1011,054,719269,749SHSOLE269,749 0 0
GEO Group Inc/TheCommon Stock36162J1063,782,988267,917SHSOLE49,261 0 218,656
Aveanna Healthcare Holdings IncCommon Stock05356F105658,854264,600SHSOLE264,600 0 0
AdTheorent Holding Co IncCommon Stock00739D109838,991261,368SHSOLE261,368 0 0
Blend Labs IncCommon Stock09352U108840,226258,531SHSOLE258,259 0 272
Paysign IncCommon Stock70451A104933,450255,041SHSOLE255,041 0 0
Leonardo SpACommon Stock52661A1085,358,147234,278SHSOLE31,651 0 202,627
Mama's Creations IncCommon Stock56146T1031,166,370233,274SHSOLE233,125 0 149
Lyft IncCommon Stock55087P1044,429,176228,898SHSOLE41,423 0 187,475
Liquidia CorpCommon Stock53635D2023,370,582228,514SHSOLE41,997 0 186,517
Nuvation Bio IncCommon Stock67080N101815,546224,051SHSOLE223,849 0 202
Powerfleet Inc NJCommon Stock73931J1091,150,743215,495SHSOLE215,495 0 0
Iovance Biotherapeutics IncCommon Stock4622601003,161,640213,336SHSOLE38,626 0 174,710
Sweetgreen IncCommon Stock87043Q1085,262,870208,348SHSOLE38,223 0 170,125
Aspen Aerogels IncCommon Stock04523Y1053,598,285204,448SHSOLE37,659 0 166,789
Archrock IncCommon Stock03957W1064,000,878203,400SHSOLE37,411 0 165,989
AXT IncCommon Stock00246W103920,272200,495SHSOLE200,495 0 0
Codexis IncCommon Stock192005106696,164199,474SHSOLE199,474 0 0
NN IncCommon Stock629337106932,420196,713SHSOLE196,713 0 0
American Industrial Partners LPCommon Stock7495271074,154,113188,054SHSOLE34,593 0 153,461
Safe Bulkers IncCommon StockY7388L103904,912182,442SHSOLE182,442 0 0
Crexendo IncCommon Stock226552107873,044181,506SHSOLE181,506 0 0
Kyndryl Holdings IncCommon Stock50155Q1003,848,212176,848SHSOLE32,022 0 144,826
Credo Technology Group Holding LtdCommon StockG254571053,674,071173,387SHSOLE31,868 0 141,519
CECO Environmental CorpCommon Stock1251411013,947,493171,481SHSOLE72,137 0 99,344
Cardiff Oncology IncCommon Stock14147L108864,562161,903SHSOLE161,903 0 0
Longboard Pharmaceuticals IncCommon Stock54300N1033,381,804156,565SHSOLE61,258 0 95,307
Energy Services of America CorpCommon Stock29271Q1031,273,693154,387SHSOLE154,387 0 0
MDU Resources Group IncCommon Stock5526901093,852,677152,884SHSOLE27,680 0 125,204
PubMatic IncCommon Stock74467Q1033,606,602152,049SHSOLE27,994 0 124,055
Paymentus Holdings IncCommon Stock70439P1083,453,223151,790SHSOLE27,935 0 123,855
Gap Inc/TheCommon Stock3647601084,076,629147,972SHSOLE26,789 0 121,183
Dyne Therapeutics IncCommon Stock26818M1084,200,812147,968SHSOLE27,238 0 120,730
VAALCO Energy IncCommon Stock91851C2011,002,244143,794SHSOLE143,794 0 0
NexGen Energy LtdCommon Stock65340P1061,102,722141,715SHSOLE 0 0 141,715
Cleanspark IncCommon Stock18452B2092,954,192139,283SHSOLE25,614 0 113,669
Couchbase IncCommon Stock22207T1013,663,957139,261SHSOLE25,771 0 113,490
TechnipFMC PLCCommon StockG871101053,494,960139,186SHSOLE25,199 0 113,987
Informatica IncCommon Stock45674M1014,832,030138,058SHSOLE25,051 0 113,007
Overseas Shipholding Group IncCommon Stock69036R863854,976133,590SHSOLE133,590 0 0
Kodiak Gas Services IncCommon Stock50012A1083,584,547131,110SHSOLE24,161 0 106,949
Immunome IncCommon Stock45257U1083,158,546127,980SHSOLE23,534 0 104,446
Encore Energy CorpCommon Stock29259W700538,276122,894SHSOLE122,894 0 0
Veeco Instruments IncCommon Stock9224171003,943,823112,136SHSOLE20,577 0 91,559
Orion Group Holdings IncCommon Stock68628V308916,055111,714SHSOLE111,714 0 0
Aquestive Therapeutics IncCommon Stock03843E104461,119108,244SHSOLE108,244 0 0
Telos CorpCommon Stock87969B101446,023107,217SHSOLE107,217 0 0
Backblaze IncCommon Stock05637B1051,092,738106,817SHSOLE106,751 0 66
Crinetics Pharmaceuticals IncCommon Stock22663K1074,990,601106,614SHSOLE19,696 0 86,918
API Group CorpCommon Stock00187Y1004,133,757105,265SHSOLE19,051 0 86,214
NEXTracker IncCommon Stock65290E1015,792,434102,940SHSOLE18,828 0 84,112
Apollo Global Management IncCommon Stock72814N104915,816101,742SHSOLE101,721 0 21
JFrog LtdCommon StockM6191J1004,493,504101,617SHSOLE18,399 0 83,218
Tarsus Pharmaceuticals IncCommon Stock87650L1033,658,918100,658SHSOLE18,479 0 82,179
Gray Television IncCommon Stock92557A1011,055,76699,040SHSOLE99,040 0 0
Sera Prognostics IncCommon Stock81749D107883,41997,079SHSOLE97,079 0 0
4D Molecular Therapeutics IncCommon Stock35104E1003,065,72996,225SHSOLE17,671 0 78,554
RxSight IncCommon Stock78349D1074,954,31196,051SHSOLE32,140 0 63,911
Mistras Group IncCommon Stock60649T107910,01695,190SHSOLE95,190 0 0
Vontier CorpCommon Stock9288811014,284,34394,452SHSOLE17,101 0 77,351
Lincoln Educational Services CorpCommon Stock533535100974,41994,329SHSOLE94,329 0 0
Caleres IncCommon Stock1295001043,848,77893,804SHSOLE17,250 0 76,554
Applied Therapeutics IncCommon Stock03828A101631,53092,872SHSOLE92,872 0 0
Q2 Holdings IncCommon Stock74736L1094,874,88792,749SHSOLE17,034 0 75,715
Valvoline IncCommon Stock92047W1014,102,04592,036SHSOLE16,665 0 75,371
Byrna Technologies IncCommon Stock12448X2011,278,50991,781SHSOLE91,781 0 0
Shattuck Labs IncCommon Stock82024L103800,21989,510SHSOLE89,510 0 0
AudioEye IncCommon Stock050734201873,22287,235SHSOLE87,235 0 0
Gulf Island Fabrication IncCommon Stock402307102627,29385,346SHSOLE85,346 0 0
Vericel CorpCommon Stock92346J1084,345,07583,527SHSOLE15,325 0 68,202
Ideaya Biosciences IncCommon Stock45166A1023,663,27883,484SHSOLE15,357 0 68,127
Napco Security Technologies IncCommon Stock6304021053,283,20081,753SHSOLE15,182 0 66,571
AZEK Co Inc/TheCommon Stock05478C1054,071,03481,064SHSOLE14,671 0 66,393
Collegium Pharmaceutical IncCommon Stock19459J1043,103,62079,949SHSOLE14,872 0 65,077
Synchronoss Technologies IncCommon Stock87157B400665,17879,662SHSOLE79,662 0 0
ReposiTrak IncCommon Stock7002153041,259,29879,451SHSOLE79,451 0 0
Mercury General CorpCommon Stock5894001004,030,88978,118SHSOLE14,314 0 63,804
Heritage Insurance Holdings IncCommon Stock42727J102810,24176,079SHSOLE76,079 0 0
Westaim Corp/TheCommon Stock8309401022,835,07975,784SHSOLE13,929 0 61,855
EZCORP IncCommon Stock302301106857,52275,686SHSOLE75,686 0 0
NeuroPace IncCommon Stock641288105998,25075,625SHSOLE75,625 0 0
Alpine Immune Sciences IncCommon Stock02083G1002,968,99674,899SHSOLE13,895 0 61,004
Clayton Dubilier & Rice LLCCommon Stock21874C1024,264,32474,486SHSOLE13,479 0 61,007
Matrix Service CoCommon Stock576853105970,40974,475SHSOLE74,475 0 0
Universal Technical Institute IncCommon Stock9139151041,186,78174,453SHSOLE74,407 0 46
Link Ventures LLLPCommon Stock30041R1081,377,65374,227SHSOLE74,186 0 41
Viking Therapeutics IncCommon Stock92686J1065,991,16673,063SHSOLE13,389 0 59,674
Inotiv IncCommon Stock45783Q100789,89072,202SHSOLE72,202 0 0
Ichor Holdings LtdCommon StockG4740B1052,770,09771,727SHSOLE13,161 0 58,566
RadNet IncCommon Stock7504911023,484,88371,617SHSOLE13,225 0 58,392
Celldex Therapeutics IncCommon Stock15117B2022,942,72770,115SHSOLE12,871 0 57,244
H&E Equipment Services IncCommon Stock4040301084,449,72869,332SHSOLE12,719 0 56,613
Roivant Sciences LtdCommon Stock45258J1022,237,17769,241SHSOLE12,737 0 56,504
Landsea Group Co LtdCommon Stock51509P103989,52268,102SHSOLE68,102 0 0
Nutanix IncCommon Stock67059N1084,171,77867,592SHSOLE12,264 0 55,328
BellRing Brands IncCommon Stock07831C1033,982,34167,463SHSOLE12,207 0 55,256
Potbelly CorpCommon Stock73754Y100814,16767,231SHSOLE67,231 0 0
Arcellx IncCommon Stock03940C1004,593,91766,052SHSOLE12,120 0 53,932
Suntx Capital Management CorpCommon Stock21044C1073,676,36565,474SHSOLE12,057 0 53,417
QuickLogic CorpCommon Stock74837P4051,039,77064,864SHSOLE64,864 0 0
Vivo Capital LLCCommon Stock8342033092,756,79164,411SHSOLE21,448 0 42,963
Spire Global IncCommon Stock848560306768,25264,021SHSOLE64,021 0 0
American Superconductor CorpCommon Stock030111207852,45463,098SHSOLE63,098 0 0
Vera Therapeutics IncCommon Stock92337R1012,709,79062,843SHSOLE11,596 0 51,247
AAON IncCommon Stock0003602065,516,91062,621SHSOLE11,336 0 51,285
Cava Group IncCommon Stock1489291024,289,58261,236SHSOLE11,087 0 50,149
Pennant Group Inc/TheCommon Stock70805E1091,173,75659,794SHSOLE59,794 0 0
Mr Cooper Group IncCommon Stock62482R1074,649,25059,644SHSOLE10,820 0 48,824
Varonis Systems IncCommon Stock9222801022,783,92659,019SHSOLE10,684 0 48,335
American Public Education IncCommon Stock02913V103829,82058,438SHSOLE58,438 0 0
Biohaven LtdCommon StockG1110E1073,191,92758,364SHSOLE10,721 0 47,643
JS Global Lifestyle Co LtdCommon StockG8068L1083,626,46258,219SHSOLE10,543 0 47,676
KB HomeCommon Stock48666K1094,065,67757,360SHSOLE10,383 0 46,977
Bandwidth IncCommon Stock05988J1031,032,89556,566SHSOLE56,566 0 0
Pegasystems IncCommon Stock7055731033,622,29656,038SHSOLE10,144 0 45,894
Janux Therapeutics IncCommon Stock47103J1052,107,38355,973SHSOLE10,304 0 45,669
Apogee Therapeutics IncCommon Stock03770N1013,662,25955,113SHSOLE10,113 0 45,000
Prestige Consumer Healthcare IncCommon Stock74112D1013,951,47254,458SHSOLE9,861 0 44,597
Parsons CorpCommon Stock70202L1024,483,53054,051SHSOLE9,783 0 44,268
Allison Transmission Holdings IncCommon Stock01973R1014,342,38553,504SHSOLE9,684 0 43,820
Turtle Beach CorpCommon Stock900450206921,85753,472SHSOLE53,472 0 0
Vertiv Holdings CoCommon Stock92537N1084,288,16552,506SHSOLE9,494 0 43,012
Virco Mfg. CorpCommon Stock927651109566,48051,828SHSOLE51,828 0 0
Snow Phipps Group LLCCommon Stock92262D101928,76451,598SHSOLE51,598 0 0
Tidewater IncCommon Stock88642R1094,569,08849,664SHSOLE8,991 0 40,673
Moneylion IncCommon Stock60938K3043,539,89749,634SHSOLE18,712 0 30,922
AZZ IncCommon Stock0024741043,734,69148,308SHSOLE8,894 0 39,414
CommVault Systems IncCommon Stock2041661024,843,68847,754SHSOLE8,640 0 39,114
Light & Wonder IncCommon Stock80874P1094,852,84847,535SHSOLE8,606 0 38,929
Stoke Therapeutics IncCommon Stock86150R107618,90845,845SHSOLE45,845 0 0
nVent Electric PLCCommon StockG6700G1073,444,04645,677SHSOLE8,289 0 37,388
Universal Stainless & Alloy Products IncCommon Stock9138371001,012,51045,161SHSOLE45,161 0 0
Coherent CorpCommon Stock19247G1072,735,96245,133SHSOLE8,169 0 36,964
GMS IncCommon Stock36251C1034,391,68945,117SHSOLE8,282 0 36,835
Assured Guaranty LtdCommon StockG0585R1063,866,30944,313SHSOLE8,025 0 36,288
Griffon CorpCommon Stock3984331023,234,51444,103SHSOLE8,108 0 35,995
Disc Medicine IncCommon Stock2546041012,727,36243,806SHSOLE8,061 0 35,745
MediWound LtdCommon StockM68830112624,12243,798SHSOLE43,798 0 0
Vaxcyte IncCommon Stock92243G1082,987,33343,732SHSOLE8,011 0 35,721
Ryman Hospitality Properties IncCommon Stock78377T1075,029,03543,500SHSOLE7,875 0 35,625
Sprouts Farmers Market IncCommon Stock85208M1022,785,66543,202SHSOLE7,819 0 35,383
Sterling Infrastructure IncCommon Stock8592411014,748,73543,049SHSOLE7,948 0 35,101
Scorpio Tankers IncCommon StockY7542C1302,995,65541,868SHSOLE7,580 0 34,288
Esab CorpCommon Stock29605J1064,586,33341,479SHSOLE7,512 0 33,967
Limoneira CoCommon Stock532746104810,29341,426SHSOLE41,426 0 0
Tenet Healthcare CorpCommon Stock88033G4074,328,95541,185SHSOLE7,456 0 33,729
Cytokinetics IncCommon Stock23282W6052,848,21940,625SHSOLE7,355 0 33,270
Electromed IncCommon Stock285409108652,57340,407SHSOLE40,407 0 0
L B Foster CoCommon Stock3500601091,093,92940,056SHSOLE40,056 0 0
BWX Technologies IncCommon Stock05605H1004,091,35739,869SHSOLE7,213 0 32,656
Kirby CorpCommon Stock4972661063,777,81839,633SHSOLE7,177 0 32,456
Natural Gas Services Group IncCommon Stock63886Q109756,64338,942SHSOLE38,942 0 0
Dave IncCommon Stock23834J2011,445,11738,910SHSOLE38,910 0 0
Post Holdings IncCommon Stock7374461044,048,73738,095SHSOLE6,892 0 31,203
Glaukos CorpCommon Stock3773221023,476,28436,868SHSOLE6,677 0 30,191
Tennant CoCommon Stock8803451034,470,26236,759SHSOLE6,749 0 30,010
Lifeway Foods IncCommon Stock531914109629,47736,555SHSOLE36,555 0 0
Patrick Industries IncCommon Stock7033431034,332,93836,268SHSOLE6,659 0 29,609
Graham CorpCommon Stock384556106973,40535,682SHSOLE35,682 0 0
Freshpet IncCommon Stock3580391054,094,14535,337SHSOLE6,398 0 28,939
Dycom Industries IncCommon Stock2674751015,054,26535,214SHSOLE6,376 0 28,838
Deerfield Management Co LPCommon Stock6707031072,626,72334,981SHSOLE6,417 0 28,564
HCI Group IncCommon Stock40416E1033,990,13434,374SHSOLE12,967 0 21,407
Maui Land & Pineapple Co IncCommon Stock577345101742,02834,258SHSOLE34,258 0 0
Hamilton Beach Brands Holding CoCommon Stock40701T104815,13433,462SHSOLE33,462 0 0
Toll Brothers IncCommon Stock8894781034,247,08832,829SHSOLE5,941 0 26,888
Armstrong World Industries IncCommon Stock04247X1024,076,90032,820SHSOLE5,942 0 26,878
Modine Manufacturing CoCommon Stock6078281003,118,32932,759SHSOLE6,116 0 26,643
Willdan Group IncCommon Stock96924N100930,43432,095SHSOLE32,095 0 0
MKS Instruments IncCommon Stock55306N1044,237,38031,860SHSOLE5,768 0 26,092
SPX Technologies IncCommon Stock78473E1033,851,01431,276SHSOLE5,679 0 25,597
Applied Industrial Technologies IncCommon Stock03820C1055,912,07929,927SHSOLE5,432 0 24,495
Tontine Associates LLCCommon Stock44951W1063,548,72529,174SHSOLE5,382 0 23,792
PVH CorpCommon Stock6936561004,025,52428,629SHSOLE5,183 0 23,446
Flexsteel Industries IncCommon Stock3393821031,052,30828,212SHSOLE28,212 0 0
Celestica IncCommon Stock15101Q1081,262,48828,072SHSOLE 0 0 28,072
AeroVironment IncCommon Stock0080731084,233,90027,622SHSOLE5,002 0 22,620
Texas Roadhouse IncCommon Stock8826811094,211,77927,266SHSOLE4,937 0 22,329
LendingTree IncCommon Stock52603B1071,153,51127,244SHSOLE27,244 0 0
Abercrombie & Fitch CoCommon Stock0028962073,413,23727,234SHSOLE4,978 0 22,256
Root Inc/OHCommon Stock77664L2071,616,54326,466SHSOLE26,466 0 0
Krystal Biotech IncCommon Stock5011471024,703,58026,435SHSOLE4,787 0 21,648
Onto Innovation IncCommon Stock6833441054,711,15826,017SHSOLE4,715 0 21,302
Bowman Consulting Group LtdCommon Stock103002101885,85825,463SHSOLE25,444 0 19
Moog IncCommon Stock6153942023,795,20023,772SHSOLE4,310 0 19,462
Powell Industries IncCommon Stock7391281063,341,91623,485SHSOLE4,317 0 19,168
Simpson Manufacturing Co IncCommon Stock8290731054,742,73623,115SHSOLE4,183 0 18,932
M-Tron Industries IncCommon Stock55380K109690,93023,031SHSOLE23,031 0 0
First Internet BancorpCommon Stock320557101799,22823,006SHSOLE23,006 0 0
XPO IncCommon Stock9837931002,753,85122,567SHSOLE4,082 0 18,485
Taylor Devices IncCommon Stock8771631051,091,40621,929SHSOLE21,929 0 0
Crane CoCommon Stock2244081042,932,05121,698SHSOLE3,937 0 17,761
Jasper Therapeutics IncCommon Stock471871202631,97421,525SHSOLE21,525 0 0
Ralph Lauren CorpCommon Stock7512121014,037,59121,504SHSOLE3,892 0 17,612
Evercore IncCommon Stock29977A1054,132,40421,457SHSOLE3,885 0 17,572
Smith-Midland CorpCommon Stock832156103935,46619,912SHSOLE19,912 0 0
Installed Building Products IncCommon Stock45780R1015,000,47519,327SHSOLE3,499 0 15,828
Comfort Systems USA IncCommon Stock1999081045,759,76518,129SHSOLE3,286 0 14,843
Spyre Therapeutics IncCommon Stock00773J202680,38817,938SHSOLE17,938 0 0
UFP Technologies IncCommon Stock9026731024,467,21917,713SHSOLE3,280 0 14,433
Appfolio IncCommon Stock03783C1004,184,46416,959SHSOLE3,071 0 13,888
Eagle Materials IncCommon Stock26969P1084,582,52016,863SHSOLE3,053 0 13,810
Limbach Holdings IncCommon Stock53263P105677,13416,348SHSOLE16,333 0 15
Super Micro Computer IncCommon Stock86800U10416,061,49715,902SHSOLE2,877 0 13,025
Curtiss-Wright CorpCommon Stock2315611013,905,38815,259SHSOLE2,766 0 12,493
Acuity Brands IncCommon Stock00508Y1024,084,42715,199SHSOLE2,753 0 12,446
FabrinetCommon StockG3323L1002,618,87213,855SHSOLE2,512 0 11,343
Camtek Ltd/IsraelCommon StockM207911051,115,14613,312SHSOLE 0 0 13,312
Stantec IncCommon Stock85472N1091,090,23713,119SHSOLE 0 0 13,119
Miller Industries Inc/TNCommon Stock600551204631,91112,613SHSOLE12,613 0 0
Climb Global Solutions IncCommon Stock946760105879,33712,406SHSOLE12,406 0 0
Neurogene IncCommon Stock64135M105615,94112,101SHSOLE12,101 0 0
Cavco Industries IncCommon Stock1495681074,409,61311,050SHSOLE2,028 0 9,022
Roark Capital Group IncCommon Stock9741551033,879,07710,587SHSOLE1,916 0 8,671
Wix.com LtdCommon StockM980681051,400,92110,190SHSOLE 0 0 10,190
Medpace Holdings IncCommon Stock58506Q1093,371,0158,341SHSOLE1,513 0 6,828
Nova LtdCommon StockM7516K1031,352,7007,626SHSOLE 0 0 7,626
NewMarket CorpCommon Stock6515871073,747,4315,905SHSOLE1,069 0 4,836
CyberArk Software LtdCommon StockM2682V1081,441,0435,425SHSOLE 0 0 5,425
Monday.com LtdCommon StockM7S64H1061,214,0515,375SHSOLE 0 0 5,375