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:
12-31-2021
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]
02-11-2022
                           [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:
279
Form 13F Information table Value Total:
609786
          (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
Hudson Technologies IncCommon Stock4441441092,332525,214SHSOLE168,513 0 356,701
Limelight Networks IncCommon Stock53261M1041,424415,108SHSOLE133,444 0 281,664
Lantronix IncCommon Stock5165482033,157403,246SHSOLE79,602 0 323,644
Information Services Group IncCommon Stock45675Y1042,899380,503SHSOLE77,863 0 302,640
LSB Industries IncCommon Stock5021601044,151375,698SHSOLE71,843 0 303,855
DHI Group IncCommon Stock23331S1002,341375,126SHSOLE120,340 0 254,786
INNOVATE CorpCommon Stock45784J1051,358366,941SHSOLE118,068 0 248,873
VAALCO Energy IncCommon Stock91851C2011,169364,266SHSOLE117,207 0 247,059
Kezar Life Sciences IncCommon Stock49372L1005,724342,361SHSOLE44,202 0 298,159
Entravision Communications CorpCommon Stock29382R1072,234329,568SHSOLE67,103 0 262,465
Energy Fuels Inc/CanadaCommon Stock2926717082,347307,665SHSOLE9,256 0 298,409
A10 Networks IncCommon Stock0021211015,036303,739SHSOLE8,357 0 295,382
Harmonic IncCommon Stock4131601023,437292,242SHSOLE8,114 0 284,128
Biotricity IncCommon Stock09074H1041,148288,397SHSOLE92,390 0 196,007
Accuray IncCommon Stock0043971051,361285,372SHSOLE91,822 0 193,550
Evolution Petroleum CorpCommon Stock30049A1071,397276,572SHSOLE88,758 0 187,814
Dixie Group Inc/TheCommon Stock2555191001,519265,129SHSOLE85,000 0 180,129
Pixelworks IncCommon Stock72581M3051,151261,666SHSOLE84,208 0 177,458
Everspin Technologies IncCommon Stock30041T1042,949260,971SHSOLE46,672 0 214,299
Extreme Networks IncCommon Stock30226D1064,075259,563SHSOLE7,325 0 252,238
Sachem Capital CorpCommon Stock78590A1091,482253,790SHSOLE81,648 0 172,142
aTyr Pharma IncCommon Stock0021202021,885252,280SHSOLE48,656 0 203,624
Huttig Building Products IncCommon Stock4484511042,755248,855SHSOLE79,906 0 168,949
Houghton Mifflin Harcourt CoCommon Stock44157R1093,970246,580SHSOLE6,735 0 239,845
Catalyst Pharmaceuticals IncCommon Stock14888U1011,619239,071SHSOLE3,275 0 235,796
Vista Oil & Gas SAB de CVCommon Stock92837L1091,255235,414SHSOLE234,762 0 652
Aehr Test SystemsCommon Stock00760J1085,565230,146SHSOLE46,445 0 183,701
Arlo Technologies IncCommon Stock04206A1012,267216,064SHSOLE2,960 0 213,104
Emancipation Capital LLCCommon Stock8354831081,572214,220SHSOLE68,668 0 145,552
Apyx Medical CorpCommon Stock03837C1062,677208,852SHSOLE41,224 0 167,628
Radiant Logistics IncCommon Stock75025X1001,462200,558SHSOLE64,345 0 136,213
Sensus Healthcare IncCommon Stock81728J1091,446200,327SHSOLE64,260 0 136,067
EZCORP IncCommon Stock3023011061,462198,398SHSOLE63,831 0 134,567
Photronics IncCommon Stock7194051023,700196,286SHSOLE5,828 0 190,458
IVERIC bio IncCommon Stock46583P1023,177190,013SHSOLE5,629 0 184,384
RCM Technologies IncCommon Stock7493604001,349189,441SHSOLE60,917 0 128,524
Quest Resource Holding CorpCommon Stock74836W2031,314189,398SHSOLE60,941 0 128,457
ONE Group Hospitality Inc/TheCommon Stock88338K1032,371188,012SHSOLE32,658 0 155,354
Universal Technical Institute IncCommon Stock9139151041,365174,494SHSOLE56,166 0 118,328
Identiv IncCommon Stock45170X2054,900174,117SHSOLE28,970 0 145,147
Babcock & Wilcox Enterprises IncCommon Stock05614L2091,542170,904SHSOLE2,341 0 168,563
EyePoint Pharmaceuticals IncCommon Stock30233G2092,011164,292SHSOLE25,379 0 138,913
Berry CorpCommon Stock08579X1011,368162,464SHSOLE2,223 0 160,241
Foghorn Therapeutics IncCommon Stock3441741073,414149,280SHSOLE4,326 0 144,954
Yellow CorpCommon Stock9855101061,821144,630SHSOLE46,386 0 98,244
Apollo Endosurgery IncCommon Stock03767D1081,177139,564SHSOLE44,864 0 94,700
Rambus IncCommon Stock7509171064,037137,360SHSOLE4,094 0 133,266
Richardson Electronics Ltd/United StatesCommon Stock7631651071,781131,741SHSOLE42,258 0 89,483
PFSweb IncCommon Stock7170982061,661128,975SHSOLE41,375 0 87,600
Laureate Education IncCommon Stock5186132031,567128,051SHSOLE1,754 0 126,297
Grid Dynamics Holdings IncCommon Stock39813G1094,744124,936SHSOLE3,340 0 121,596
Gladstone Land CorpCommon Stock3765491014,093121,242SHSOLE3,524 0 117,718
Build-A-Bear Workshop IncCommon Stock1200761042,317118,696SHSOLE19,003 0 99,693
Northern Oil and Gas IncCommon Stock6655313072,426117,888SHSOLE3,523 0 114,365
Tiptree IncCommon Stock88822Q1031,611116,464SHSOLE37,470 0 78,994
Green Brick Partners IncCommon Stock3927091013,497115,302SHSOLE3,427 0 111,875
Stagwell IncCommon Stock85256A109999115,198SHSOLE37,031 0 78,167
Townsquare Media IncCommon Stock8922311011,530114,814SHSOLE36,947 0 77,867
SigmaTron International IncCommon Stock82661L1011,184114,596SHSOLE36,864 0 77,732
PDF Solutions IncCommon Stock6932821053,474109,268SHSOLE3,121 0 106,147
Cytokinetics IncCommon Stock23282W6054,923107,998SHSOLE3,165 0 104,833
Lightbridge CorpCommon Stock53224K302712107,465SHSOLE34,547 0 72,918
Beauty Health Co/TheCommon Stock88331L1082,582106,867SHSOLE3,198 0 103,669
Independence Realty Trust IncCommon Stock45378A1062,739106,058SHSOLE3,041 0 103,017
LS Starrett Co/TheCommon Stock855668109935100,050SHSOLE32,189 0 67,861
Usio IncCommon Stock91731310843499,465SHSOLE31,984 0 67,481
Inspired Entertainment IncCommon Stock45782N1081,27598,407SHSOLE31,539 0 66,868
Trio-Tech InternationalCommon Stock8967122051,30397,020SHSOLE31,054 0 65,966
Beyond Air IncCommon Stock08862L10390095,362SHSOLE30,684 0 64,678
DLH Holdings CorpCommon Stock23335Q1001,95794,465SHSOLE30,288 0 64,177
B Riley Financial IncCommon Stock02128L1062,71191,151SHSOLE23,609 0 67,542
SandRidge Energy IncCommon Stock80007P86994390,148SHSOLE28,988 0 61,160
Preferred Apartment Communities IncCommon Stock74039L1031,61889,587SHSOLE1,227 0 88,360
Movado Group IncCommon Stock6245801063,70188,473SHSOLE2,531 0 85,942
Goodyear Tire & Rubber Co/TheCommon Stock3825501011,87988,110SHSOLE3,758 0 84,352
Ranpak Holdings CorpCommon Stock75321W1033,27887,219SHSOLE2,707 0 84,512
Clearfield IncCommon Stock18482P1037,28686,302SHSOLE10,975 0 75,327
Consumer Portfolio Services IncCommon Stock2105021001,02186,136SHSOLE27,690 0 58,446
Bridgewater Bancshares IncCommon Stock1086211031,49584,526SHSOLE27,206 0 57,320
Prometheus Biosciences IncCommon Stock74349U1083,27282,764SHSOLE2,397 0 80,367
Super Micro Computer IncCommon Stock86800U1043,62482,465SHSOLE2,448 0 80,017
Cedar Realty Trust IncCommon Stock1506026052,05981,983SHSOLE26,373 0 55,610
Macy's IncCommon Stock55616P1042,13781,617SHSOLE3,484 0 78,133
USA Truck IncCommon Stock9029251061,60680,804SHSOLE25,936 0 54,868
WillScot Mobile Mini Holdings CorpCommon Stock9713781043,29480,662SHSOLE3,459 0 77,203
Hostess Brands IncCommon Stock44109J1061,62879,733SHSOLE1,092 0 78,641
Juniper Capital Advisors LPCommon Stock70788V1022,12678,981SHSOLE13,853 0 65,128
Green Plains IncCommon Stock3932221042,71678,132SHSOLE2,130 0 76,002
Arcus Biosciences IncCommon Stock03969F1093,08276,163SHSOLE2,264 0 73,899
Xponential Fitness IncCommon Stock98422X1011,51474,066SHSOLE1,014 0 73,052
Aspen Aerogels IncCommon Stock04523Y1053,63573,008SHSOLE2,016 0 70,992
Kura Sushi USA IncCommon Stock5012701025,87872,709SHSOLE13,352 0 59,357
Donnelley Financial Solutions IncCommon Stock25787G1003,40672,247SHSOLE2,206 0 70,041
North American Construction Group LtdCommon Stock6568111061,08771,549SHSOLE71,549 0 0
BRT Apartments CorpCommon Stock0556453031,70170,884SHSOLE22,787 0 48,097
Metrocity Bankshares IncCommon Stock59165J1051,92970,078SHSOLE22,542 0 47,536
Madison Dearborn Partners LLCCommon Stock68404L2011,99069,982SHSOLE2,987 0 66,995
TimkenSteel CorpCommon Stock8873991031,14869,562SHSOLE22,376 0 47,186
EnerVest LtdCommon Stock5596631091,30869,316SHSOLE2,956 0 66,360
Skyline Champion CorpCommon Stock8308301055,47469,304SHSOLE1,975 0 67,329
Legacy Housing CorpCommon Stock52472M1011,82168,798SHSOLE22,065 0 46,733
Carriage Services IncCommon Stock1439051074,41168,459SHSOLE1,873 0 66,586
Crinetics Pharmaceuticals IncCommon Stock22663K1071,90266,948SHSOLE916 0 66,032
Bridge Investment Group Holdings IncCommon Stock10806B1001,65566,295SHSOLE908 0 65,387
iTeos Therapeutics IncCommon Stock46565G1043,05965,707SHSOLE1,923 0 63,784
Silver Lake Management LLCCommon StockG8232Y1014,62565,151SHSOLE1,745 0 63,406
Pure Storage IncCommon Stock74624M1022,11464,933SHSOLE2,753 0 62,180
Bowman Consulting Group LtdCommon Stock1030021011,37764,804SHSOLE20,749 0 44,055
Zuora IncCommon Stock98983V1061,20664,568SHSOLE882 0 63,686
Cerberus Capital Management LPCommon Stock09624H2086,15564,276SHSOLE7,624 0 56,652
Customers Bancorp IncCommon Stock23204G1004,10762,827SHSOLE1,980 0 60,847
Gladstone Commercial CorpCommon Stock3765361081,61162,528SHSOLE856 0 61,672
Bluegreen Vacations Holding CorpCommon Stock0963081012,15561,403SHSOLE842 0 60,561
Coastal Financial Corp/WACommon Stock19046P2093,09261,089SHSOLE11,409 0 49,680
Axcelis Technologies IncCommon Stock0545402084,54660,970SHSOLE1,690 0 59,280
AMREP CorpCommon Stock03215910592560,880SHSOLE19,570 0 41,310
CyberOptics CorpCommon Stock2325171022,74959,111SHSOLE10,804 0 48,307
Lifetime Brands IncCommon Stock53222Q10394259,006SHSOLE18,968 0 40,038
Platinum Equity LLCCommon Stock7837541041,50557,773SHSOLE791 0 56,982
Livent CorpCommon Stock53814L1081,38856,951SHSOLE2,437 0 54,514
Juniper Networks IncCommon Stock48203R1042,02756,763SHSOLE2,427 0 54,336
Huntsman CorpCommon Stock4470111071,97556,622SHSOLE2,409 0 54,213
Calix IncCommon Stock13100M5094,51356,436SHSOLE1,676 0 54,760
Vocera Communications IncCommon Stock92857F1073,51554,218SHSOLE1,568 0 52,650
City Office REIT IncCommon Stock1785871011,06754,095SHSOLE741 0 53,354
Impinj IncCommon Stock4532041094,75653,617SHSOLE1,385 0 52,232
Ovintiv IncCommon Stock69047Q1021,78052,830SHSOLE2,262 0 50,568
Inotiv IncCommon Stock45783Q1002,21352,591SHSOLE9,228 0 43,363
NexPoint Residential Trust IncCommon Stock65341D1024,38652,323SHSOLE1,432 0 50,891
PASL Holding LLCCommon Stock5917741045,52451,855SHSOLE6,078 0 45,777
Summit Materials IncCommon Stock86614U1002,03250,634SHSOLE2,162 0 48,472
Evoqua Water Technologies CorpCommon Stock30057T1052,33749,997SHSOLE2,134 0 47,863
Simply Good Foods Co/TheCommon Stock82900L1022,05049,310SHSOLE2,104 0 47,206
Plymouth Industrial REIT IncCommon Stock7296401021,52947,794SHSOLE654 0 47,140
Capital Bancorp IncCommon Stock1397371001,24547,503SHSOLE15,200 0 32,303
Five Star BancorpCommon Stock33830T1031,40846,940SHSOLE15,094 0 31,846
Amerant Bancorp IncCommon Stock0235761011,60146,326SHSOLE634 0 45,692
iRadimed CorpCommon Stock46266A1092,13446,186SHSOLE14,857 0 31,329
Hudson Global IncCommon Stock4437872051,32445,932SHSOLE14,723 0 31,209
TravelCenters of America IncCommon Stock89421B1092,32044,939SHSOLE8,316 0 36,623
Opiant Pharmaceuticals IncCommon Stock6837501031,50644,771SHSOLE14,314 0 30,457
Titan Machinery IncCommon Stock88830R1011,49944,502SHSOLE609 0 43,893
Cross Country Healthcare IncCommon Stock2274831041,23044,293SHSOLE606 0 43,687
Informatica IncCommon Stock45674M1011,61843,759SHSOLE1,871 0 41,888
SilverBow Resources IncCommon Stock82836G10294843,535SHSOLE13,999 0 29,536
Fluent IncCommon Stock75704L1041,71943,320SHSOLE13,889 0 29,431
BJ's Wholesale Club Holdings IncCommon Stock05550J1012,87142,875SHSOLE1,830 0 41,045
MGP Ingredients IncCommon Stock55303J1063,63742,788SHSOLE1,269 0 41,519
Intra-Cellular Therapies IncCommon Stock46116X1012,21942,404SHSOLE1,812 0 40,592
Atlas Air Worldwide Holdings IncCommon Stock0491642053,90641,503SHSOLE1,223 0 40,280
Boot Barn Holdings IncCommon Stock0994061005,08341,311SHSOLE1,259 0 40,052
Esquire Financial Holdings IncCommon Stock29667J1011,29741,026SHSOLE13,188 0 27,838
First Internet BancorpCommon Stock3205571011,92440,907SHSOLE13,123 0 27,784
Wayside Technology Group IncCommon Stock9467601051,42440,603SHSOLE13,005 0 27,598
AnaptysBio IncCommon Stock0327241061,40440,392SHSOLE552 0 39,840
Perion Network LtdCommon StockM7867311496840,259SHSOLE40,124 0 135
Centrus Energy CorpCommon Stock15643U1041,99740,007SHSOLE7,824 0 32,183
Cerevel Therapeutics Holdings IncCommon Stock15678U1281,29439,907SHSOLE1,708 0 38,199
Covenant Logistics Group IncCommon Stock22284P1051,05039,743SHSOLE12,792 0 26,951
California Resources CorpCommon Stock13057Q3051,69639,704SHSOLE1,696 0 38,008
Transcat IncCommon Stock8935291073,66939,696SHSOLE7,410 0 32,286
Inhibrx IncCommon Stock45720L1071,72339,462SHSOLE540 0 38,922
Lee Enterprises IncCommon Stock5237684061,34238,855SHSOLE12,448 0 26,407
Meridian CorpCommon Stock58958P1041,40638,233SHSOLE12,291 0 25,942
Clarus CorpCommon Stock18270P1091,06038,228SHSOLE523 0 37,705
Evolent Health IncCommon Stock30050B1011,05738,213SHSOLE521 0 37,692
Zurn Water Solutions CorpCommon Stock98983L1081,37837,867SHSOLE1,600 0 36,267
National Storage Affiliates TrustCommon Stock6378701062,60037,575SHSOLE1,606 0 35,969
Inter Parfums IncCommon Stock4583341093,92236,685SHSOLE1,050 0 35,635
Napco Security Technologies IncCommon Stock6304021051,82236,449SHSOLE499 0 35,950
Ocwen Financial CorpCommon Stock6757466061,43535,898SHSOLE11,540 0 24,358
H&E Equipment Services IncCommon Stock4040301081,58235,744SHSOLE489 0 35,255
General Atlantic LPCommon Stock29882P1061,07535,412SHSOLE485 0 34,927
Lattice Semiconductor CorpCommon Stock5184151042,72435,346SHSOLE1,512 0 33,834
AdvanSix IncCommon Stock00773T1011,66735,286SHSOLE483 0 34,803
Kforce IncCommon Stock4937321012,63935,085SHSOLE480 0 34,605
Knight-Swift Transportation Holdings IncCommon Stock4990491042,12634,885SHSOLE1,477 0 33,408
Krystal Biotech IncCommon Stock5011471022,43934,867SHSOLE1,051 0 33,816
A-Mark Precious Metals IncCommon Stock00181T1072,10434,440SHSOLE6,077 0 28,363
Forward Air CorpCommon Stock3498531014,15734,332SHSOLE1,027 0 33,305
Gorman-Rupp Co/TheCommon Stock3830821041,50933,881SHSOLE464 0 33,417
Matador Resources CoCommon Stock5764852051,22633,219SHSOLE1,422 0 31,797
Franklin Covey CoCommon Stock3534691091,53933,197SHSOLE455 0 32,742
Axos Financial IncCommon Stock05465C1001,81832,515SHSOLE1,386 0 31,129
Codexis IncCommon Stock1920051061,01632,488SHSOLE445 0 32,043
Sealed Air CorpCommon Stock81211K1002,14731,820SHSOLE1,359 0 30,461
First Industrial Realty Trust IncCommon Stock32054K1032,07731,374SHSOLE1,338 0 30,036
Power REITCommon Stock73933H1012,15931,345SHSOLE10,059 0 21,286
Enanta Pharmaceuticals IncCommon Stock29251M1062,30630,839SHSOLE903 0 29,936
Montrose Environmental Group IncCommon Stock6151111012,15030,488SHSOLE417 0 30,071
SeaWorld Entertainment IncCommon Stock81282V1001,96230,247SHSOLE1,291 0 28,956
Rexford Industrial Realty IncCommon Stock76169C1002,42029,841SHSOLE1,264 0 28,577
PAM Transportation Services IncCommon Stock6931491062,10029,567SHSOLE9,516 0 20,051
Olin CorpCommon Stock6806652051,67529,126SHSOLE1,245 0 27,881
Steven Madden LtdCommon Stock5562691081,33628,759SHSOLE1,227 0 27,532
MaxLinear IncCommon Stock57776J1002,12128,138SHSOLE1,199 0 26,939
Jabil IncCommon Stock4663131031,97028,003SHSOLE1,193 0 26,810
Smith-Midland CorpCommon Stock8321561031,31227,918SHSOLE8,684 0 19,234
Southern Missouri Bancorp IncCommon Stock8433801061,44627,711SHSOLE8,916 0 18,795
Southern First Bancshares IncCommon Stock8428731011,73127,702SHSOLE8,913 0 18,789
Ciena CorpCommon Stock1717793092,11827,516SHSOLE1,171 0 26,345
Otter Tail CorpCommon Stock6896481031,95827,419SHSOLE376 0 27,043
VSE CorpCommon Stock9182841001,64526,987SHSOLE369 0 26,618
Toll Brothers IncCommon Stock8894781031,92726,613SHSOLE1,133 0 25,480
CSG Systems International IncCommon Stock1263491091,50726,153SHSOLE358 0 25,795
Belden IncCommon Stock0774541061,64825,074SHSOLE343 0 24,731
Terreno Realty CorpCommon Stock88146M1012,13224,995SHSOLE1,070 0 23,925
Ameresco IncCommon Stock02361E1081,98724,396SHSOLE1,041 0 23,355
UFP Technologies IncCommon Stock9026731021,71124,353SHSOLE7,837 0 16,516
Encore Wire CorpCommon Stock2925621053,30723,111SHSOLE672 0 22,439
Anterix IncCommon Stock03676C1001,34222,838SHSOLE980 0 21,858
Stewart Information Services CorpCommon Stock8603721011,80122,588SHSOLE309 0 22,279
ServisFirst Bancshares IncCommon Stock81768T1081,91722,571SHSOLE966 0 21,605
Atkore IncCommon Stock0476491082,50322,515SHSOLE965 0 21,550
Triumph Bancorp IncCommon Stock89679E3002,61921,991SHSOLE663 0 21,328
Planet Fitness IncCommon Stock72703H1011,98921,953SHSOLE937 0 21,016
Marcus & Millichap IncCommon Stock5663241091,10921,556SHSOLE295 0 21,261
Golden Entertainment IncCommon Stock3810131011,07321,229SHSOLE290 0 20,939
Helios Technologies IncCommon Stock42328H1092,22221,126SHSOLE902 0 20,224
Civitas Resources IncCommon Stock17888H1031,01720,758SHSOLE283 0 20,475
Nelnet IncCommon Stock64031N1082,01620,643SHSOLE884 0 19,759
Hub Group IncCommon Stock4433201061,70920,292SHSOLE277 0 20,015
Perficient IncCommon Stock71375U1012,58319,977SHSOLE626 0 19,351
Veritiv CorpCommon Stock9234541022,39619,548SHSOLE581 0 18,967
Ashland Global Holdings IncCommon Stock0441861042,05419,076SHSOLE815 0 18,261
Century Communities IncCommon Stock1565043001,54118,841SHSOLE258 0 18,583
Regional Management CorpCommon Stock75902K1061,08218,839SHSOLE6,061 0 12,778
Diodes IncCommon Stock2545431012,05618,724SHSOLE799 0 17,925
Live Oak Bancshares IncCommon Stock53803X1051,63118,683SHSOLE800 0 17,883
Signet Jewelers LtdCommon StockG812761001,59518,324SHSOLE783 0 17,541
Materion CorpCommon Stock5766901011,68218,296SHSOLE250 0 18,046
WESCO International IncCommon Stock95082P1052,37218,026SHSOLE777 0 17,249
ArcBest CorpCommon Stock03937C1052,13217,785SHSOLE243 0 17,542
Ingles Markets IncCommon Stock4570301041,52217,624SHSOLE241 0 17,383
Onto Innovation IncCommon Stock6833441051,78317,617SHSOLE751 0 16,866
ExlService Holdings IncCommon Stock3020811042,54117,555SHSOLE754 0 16,801
Altair Engineering IncCommon Stock0213691031,35117,479SHSOLE748 0 16,731
Trupanion IncCommon Stock8982021062,29217,363SHSOLE741 0 16,622
New Relic IncCommon Stock64829B1001,85116,831SHSOLE716 0 16,115
EnPro Industries IncCommon Stock29355X1071,76816,064SHSOLE219 0 15,845
DigitalOcean Holdings IncCommon Stock25402D1021,26915,802SHSOLE676 0 15,126
Balchem CorpCommon Stock0576652002,65415,740SHSOLE672 0 15,068
Ambarella IncCommon StockG037AX1013,19015,721SHSOLE669 0 15,052
Walker & Dunlop IncCommon Stock93148P1022,32415,402SHSOLE656 0 14,746
Herc Holdings IncCommon Stock42704L1042,40315,347SHSOLE471 0 14,876
Matson IncCommon Stock57686G1051,37915,322SHSOLE654 0 14,668
Tandem Diabetes Care IncCommon Stock8753722032,30615,321SHSOLE655 0 14,666
STAG Industrial IncCommon Stock85254J10272615,143SHSOLE648 0 14,495
ASGN IncCommon Stock00191U1021,70013,780SHSOLE588 0 13,192
Choice Hotels International IncCommon Stock1699051062,12513,624SHSOLE584 0 13,040
Cavco Industries IncCommon Stock1495681074,26613,431SHSOLE400 0 13,031
Omnicell IncCommon Stock68213N1092,40113,308SHSOLE570 0 12,738
Life Storage IncCommon Stock53223X1072,03413,277SHSOLE566 0 12,711
EastGroup Properties IncCommon Stock2772761012,98813,115SHSOLE556 0 12,559
Oasis Petroleum IncCommon Stock6742152071,65113,105SHSOLE178 0 12,927
Nova LtdCommon StockM7516K1031,81112,360SHSOLE12,331 0 29
Vicor CorpCommon Stock9258151021,54512,170SHSOLE520 0 11,650
Watts Water Technologies IncCommon Stock9427491022,20111,333SHSOLE487 0 10,846
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Synaptics IncCommon Stock87157D1093,07610,625SHSOLE453 0 10,172
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SiTime CorpCommon Stock82982T1062,8999,910SHSOLE425 0 9,485
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Novanta IncCommon Stock67000B1041,6979,624SHSOLE411 0 9,213
Workiva IncCommon Stock98139A1051,2549,612SHSOLE411 0 9,201
MYR Group IncCommon Stock55405W1041,0239,252SHSOLE126 0 9,126
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