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:
03-31-2022
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]
05-12-2022
                           [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:
270
Form 13F Information table Value Total:
537029
          (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
Limelight Networks IncCommon Stock53261M1045,6981,091,538SHSOLE158,071 0 933,467
CTI BioPharma CorpCommon Stock12648L6014,7261,011,935SHSOLE135,753 0 876,182
Clear Channel Outdoor Holdings IncCommon Stock18453H1062,901838,445SHSOLE24,445 0 814,000
Hudson Technologies IncCommon Stock4441441094,092658,959SHSOLE146,940 0 512,019
Lipocine IncCommon Stock53630X104901657,804SHSOLE216,352 0 441,452
VAALCO Energy IncCommon Stock91851C2014,093626,861SHSOLE120,674 0 506,187
Assertio Holdings IncCommon Stock04546C2051,336465,410SHSOLE153,755 0 311,655
NexTier Oilfield Solutions IncCommon Stock65290C1053,928425,096SHSOLE12,236 0 412,860
Vertex Energy IncCommon Stock92534K1074,061408,532SHSOLE51,260 0 357,272
ARC Document Solutions IncCommon Stock00191G1031,544395,912SHSOLE130,796 0 265,116
Catalyst Pharmaceuticals IncCommon Stock14888U1013,029365,415SHSOLE9,917 0 355,498
Select Energy Services IncCommon Stock81617J3012,973346,905SHSOLE9,558 0 337,347
Third Rock Ventures LLCCommon Stock92915B1062,587339,497SHSOLE62,898 0 276,599
Ring Energy IncCommon Stock76680V1081,295339,081SHSOLE111,955 0 227,126
Hallador Energy CoCommon Stock40609P1051,173335,108SHSOLE110,279 0 224,829
Newpark Resources IncCommon Stock6517185041,208330,076SHSOLE108,652 0 221,424
RPC IncCommon Stock7496601063,487326,788SHSOLE9,509 0 317,279
DHI Group IncCommon Stock23331S1001,938325,710SHSOLE107,171 0 218,539
Sensus Healthcare IncCommon Stock81728J1093,272323,315SHSOLE68,553 0 254,762
Lantronix IncCommon Stock5165482032,075310,686SHSOLE63,265 0 247,421
SunCoke Energy IncCommon Stock86722A1032,703303,375SHSOLE9,084 0 294,291
Evolus IncCommon Stock30052C1073,395302,589SHSOLE56,514 0 246,075
Centennial Resource Development Inc/DECommon Stock15136A1022,439302,215SHSOLE8,114 0 294,101
Smart Sand IncCommon Stock83191H1071,032299,172SHSOLE98,776 0 200,396
Amplify Energy CorpCommon Stock03212B1031,620294,457SHSOLE96,892 0 197,565
Frontline Ltd/BermudaCommon StockG3682E1922,585293,750SHSOLE8,603 0 285,147
Kezar Life Sciences IncCommon Stock49372L1004,879293,559SHSOLE39,355 0 254,204
INNOVATE CorpCommon Stock45784J1051,057286,489SHSOLE94,610 0 191,879
Arlo Technologies IncCommon Stock04206A1012,492281,304SHSOLE7,757 0 273,547
Southwestern Energy CoCommon Stock8454671091,953272,358SHSOLE11,879 0 260,479
Splash Beverage Group IncCommon Stock84862C203772271,808SHSOLE89,414 0 182,394
Republic First Bancorp IncCommon Stock7604161071,364264,349SHSOLE86,999 0 177,350
TDR Capital LLPCommon Stock87615L1071,506251,065SHSOLE82,614 0 168,451
FreightCar America IncCommon Stock3570231001,468248,310SHSOLE81,716 0 166,594
Pangaea Logistics Solutions LtdCommon StockG6891L1051,360244,668SHSOLE80,798 0 163,870
Zeta Global Holdings CorpCommon Stock98956A1053,104243,429SHSOLE7,109 0 236,320
Daseke IncCommon Stock23753F1072,410239,352SHSOLE6,341 0 233,011
Evolution Petroleum CorpCommon Stock30049A1071,617238,074SHSOLE78,351 0 159,723
Braemar Hotels & Resorts IncCommon Stock10482B1011,454235,220SHSOLE77,678 0 157,542
Quad/Graphics IncCommon Stock7473011091,631234,981SHSOLE77,328 0 157,653
LSB Industries IncCommon Stock5021601045,098233,407SHSOLE38,305 0 195,102
Patterson-UTI Energy IncCommon Stock7034811013,426221,307SHSOLE6,336 0 214,971
Falcon Minerals CorpCommon Stock30607B1091,466217,445SHSOLE2,969 0 214,476
Everspin Technologies IncCommon Stock30041T1041,880215,832SHSOLE39,628 0 176,204
Alto Ingredients IncCommon Stock0215131061,439210,992SHSOLE69,662 0 141,330
TimkenSteel CorpCommon Stock8873991034,447203,234SHSOLE21,859 0 181,375
Liquidia CorpCommon Stock53635D2021,406195,810SHSOLE64,689 0 131,121
RCM Technologies IncCommon Stock7493604001,897192,421SHSOLE63,430 0 128,991
Quest Resource Holding CorpCommon Stock74836W2031,180191,912SHSOLE63,455 0 128,457
Vista Oil & Gas SAB de CVCommon Stock92837L1091,701187,091SHSOLE186,439 0 652
Universal Technical Institute IncCommon Stock9139151041,569177,321SHSOLE58,483 0 118,838
SEACOR Marine Holdings IncCommon Stock78413P1011,407174,302SHSOLE57,332 0 116,970
Extreme Networks IncCommon Stock30226D1062,104172,317SHSOLE5,131 0 167,186
Photronics IncCommon Stock7194051022,903171,044SHSOLE4,815 0 166,229
Hostess Brands IncCommon Stock44109J1063,672167,376SHSOLE4,905 0 162,471
BioCryst Pharmaceuticals IncCommon Stock09058V1032,650162,969SHSOLE4,978 0 157,991
Berry CorpCommon Stock08579X1011,677162,464SHSOLE2,223 0 160,241
Obsidian Energy LtdCommon Stock6744822031,405158,415SHSOLE157,705 0 710
IVERIC bio IncCommon Stock46583P1022,622155,778SHSOLE4,579 0 151,199
A10 Networks IncCommon Stock0021211012,147153,913SHSOLE4,519 0 149,394
Entravision Communications CorpCommon Stock29382R107961149,861SHSOLE49,489 0 100,372
Consumer Portfolio Services IncCommon Stock2105021001,499147,503SHSOLE48,727 0 98,776
Genco Shipping & Trading LtdCommon StockY2685T1313,421144,826SHSOLE4,212 0 140,614
Allscripts Healthcare Solutions IncCommon Stock01988P1083,211142,566SHSOLE4,249 0 138,317
International Money Express IncCommon Stock46005L1012,883139,870SHSOLE3,912 0 135,958
Sierra Oncology IncCommon Stock82640U4044,381136,692SHSOLE17,336 0 119,356
Yorktown Partners LLCCommon Stock75134P3032,114133,795SHSOLE3,933 0 129,862
Richardson Electronics Ltd/United StatesCommon Stock7631651071,661133,484SHSOLE44,001 0 89,483
USA Truck IncCommon Stock9029251062,741133,061SHSOLE27,705 0 105,356
Solaris Oilfield Infrastructure IncCommon Stock83418M1031,494132,288SHSOLE43,532 0 88,756
Adicet Bio IncCommon Stock0070021082,631131,770SHSOLE23,404 0 108,366
Eiger BioPharmaceuticals IncCommon Stock28249U1051,052126,696SHSOLE41,654 0 85,042
Amphastar Pharmaceuticals IncCommon Stock03209R1034,477124,697SHSOLE3,568 0 121,129
Information Services Group IncCommon Stock45675Y104833122,301SHSOLE40,388 0 81,913
Rambus IncCommon Stock7509171063,800119,154SHSOLE3,364 0 115,790
Century Aluminum CoCommon Stock1564311083,123118,708SHSOLE3,570 0 115,138
Tiptree IncCommon Stock88822Q1031,516118,010SHSOLE39,016 0 78,994
Northern Oil and Gas IncCommon Stock6655313073,230114,597SHSOLE3,425 0 111,172
Veeco Instruments IncCommon Stock9224171003,097113,892SHSOLE3,356 0 110,536
eGain CorpCommon Stock28225C8061,313113,424SHSOLE37,463 0 75,961
Laureate Education IncCommon Stock5186132031,293109,156SHSOLE1,487 0 107,669
Whitestone REITCommon Stock9660842041,446109,104SHSOLE1,490 0 107,614
Comstock Resources IncCommon Stock2057683021,390106,502SHSOLE1,454 0 105,048
Earthstone Energy IncCommon Stock27032D3041,322104,647SHSOLE1,430 0 103,217
Northeast Community Bancorp IncCommon Stock6641211001,278104,355SHSOLE34,468 0 69,887
Farmland Partners IncCommon Stock31154R1091,427103,762SHSOLE1,417 0 102,345
Xponential Fitness IncCommon Stock98422X1012,417103,131SHSOLE2,986 0 100,145
Natural Gas Services Group IncCommon Stock63886Q1091,219102,324SHSOLE33,680 0 68,644
Trio-Tech InternationalCommon Stock89671220570597,883SHSOLE32,335 0 65,548
Evolent Health IncCommon Stock30050B1013,12596,760SHSOLE2,859 0 93,901
Independence Realty Trust IncCommon Stock45378A1062,49294,264SHSOLE2,574 0 91,690
PAM Transportation Services IncCommon Stock6931491063,23292,994SHSOLE20,266 0 72,728
Warrior Met Coal IncCommon Stock93627C1013,44692,846SHSOLE2,753 0 90,093
Air Transport Services Group IncCommon Stock00922R1053,07691,945SHSOLE2,688 0 89,257
Synalloy CorpCommon Stock8715651071,47291,731SHSOLE30,203 0 61,528
SandRidge Energy IncCommon Stock80007P8691,46391,344SHSOLE30,184 0 61,160
JAKKS Pacific IncCommon Stock47012E4031,26490,104SHSOLE29,755 0 60,349
ONE Group Hospitality Inc/TheCommon Stock88338K10392688,138SHSOLE29,106 0 59,032
PDF Solutions IncCommon Stock6932821052,38585,585SHSOLE2,374 0 83,211
Talos Energy IncCommon Stock87484T1081,34985,408SHSOLE1,166 0 84,242
US Silica Holdings IncCommon Stock90346E1031,58284,780SHSOLE2,366 0 82,414
Gladstone Land CorpCommon Stock3765491013,07984,533SHSOLE2,467 0 82,066
Tivity Health IncCommon Stock88870R1022,65482,494SHSOLE2,397 0 80,097
Natural Grocers by Vitamin Cottage IncCommon Stock63888U1081,59981,602SHSOLE26,867 0 54,735
PFSweb IncCommon Stock71709820693181,481SHSOLE26,902 0 54,579
Bel Fuse IncCommon Stock0773473001,45181,339SHSOLE26,855 0 54,484
Inspired Entertainment IncCommon Stock45782N10899680,956SHSOLE26,630 0 54,326
Prometheus Biosciences IncCommon Stock74349U1083,04380,587SHSOLE2,332 0 78,255
Townsquare Media IncCommon Stock8922311011,03080,551SHSOLE26,611 0 53,940
Finwise BancorpCommon Stock31813A1091,36579,619SHSOLE26,198 0 53,421
Juniper Capital Advisors LPCommon Stock70788V1022,74679,532SHSOLE14,404 0 65,128
Aris Water Solution IncCommon Stock04041L1061,40877,386SHSOLE1,057 0 76,329
Lantheus Holdings IncCommon Stock5165441034,26177,031SHSOLE2,243 0 74,788
Battalion Oil CorpCommon Stock07134L1071,42176,502SHSOLE25,262 0 51,240
RADA Electronic Industries LtdCommon StockM818631241,06376,309SHSOLE76,309 0 0
iRadimed CorpCommon Stock46266A1093,41676,179SHSOLE15,871 0 60,308
Marten Transport LtdCommon Stock5730751081,32274,439SHSOLE1,016 0 73,423
BRT Apartments CorpCommon Stock0556453031,72672,026SHSOLE23,727 0 48,299
Cutera IncCommon Stock2321091084,95871,854SHSOLE1,904 0 69,950
Andersons Inc/TheCommon Stock0341641033,58171,241SHSOLE2,108 0 69,133
DLH Holdings CorpCommon Stock23335Q1001,33770,614SHSOLE23,226 0 47,388
Box IncCommon Stock10316T1041,97267,854SHSOLE2,962 0 64,892
Silvercrest Asset Management Group IncCommon Stock8283591091,38067,464SHSOLE22,274 0 45,190
Mattel IncCommon Stock5770811021,47866,547SHSOLE2,892 0 63,655
Innoviva IncCommon Stock45781M1011,28366,309SHSOLE905 0 65,404
Cytokinetics IncCommon Stock23282W6052,43966,255SHSOLE1,997 0 64,258
Peregrine EP II LLCCommon Stock5596631091,55765,833SHSOLE2,853 0 62,980
Dave & Buster's Entertainment IncCommon Stock2383371093,11663,459SHSOLE1,874 0 61,585
Twin Disc IncCommon Stock9014761011,05263,229SHSOLE20,876 0 42,353
Antero Resources CorpCommon Stock03674X1061,92563,068SHSOLE2,754 0 60,314
AAR CorpCommon Stock0003611053,00562,039SHSOLE1,831 0 60,208
Allegheny Technologies IncCommon Stock01741R1021,60659,842SHSOLE2,613 0 57,229
PBF Energy IncCommon Stock69318G1061,45159,540SHSOLE813 0 58,727
Global Ship Lease IncCommon StockY271836001,69459,466SHSOLE59,466 0 0
Tidewater IncCommon Stock88642R1091,27058,399SHSOLE797 0 57,602
Harmony Biosciences Holdings IncCommon Stock4131971042,79057,340SHSOLE1,717 0 55,623
Ping Identity Holding CorpCommon Stock72341T1031,53956,099SHSOLE766 0 55,333
Fluor CorpCommon Stock3434121021,58555,248SHSOLE2,408 0 52,840
Mirum Pharmaceuticals IncCommon Stock6047491011,20354,640SHSOLE746 0 53,894
Triumph Group IncCommon Stock8968181011,36553,982SHSOLE737 0 53,245
Juniper Networks IncCommon Stock48203R1042,00553,946SHSOLE2,343 0 51,603
Madison Dearborn Partners LLCCommon Stock68404L2011,53753,801SHSOLE2,349 0 51,452
Huntsman CorpCommon Stock4470111072,01353,658SHSOLE2,325 0 51,333
Brigham Minerals IncCommon Stock10918L1031,36953,569SHSOLE731 0 52,838
Pure Storage IncCommon Stock74624M1021,88653,418SHSOLE2,324 0 51,094
CSG Systems International IncCommon Stock1263491093,37753,129SHSOLE1,532 0 51,597
Coastal Financial Corp/WACommon Stock19046P2092,39652,371SHSOLE10,792 0 41,579
Range Resources CorpCommon Stock75281A1091,58152,030SHSOLE2,269 0 49,761
NexPoint Residential Trust IncCommon Stock65341D1024,61451,095SHSOLE1,395 0 49,700
Ovintiv IncCommon Stock69047Q1022,71450,200SHSOLE2,183 0 48,017
Axcelis Technologies IncCommon Stock0545402083,76149,794SHSOLE1,474 0 48,320
Eagle Bulk Shipping IncCommon StockY2187A1503,37449,533SHSOLE1,458 0 48,075
Platinum Equity LLCCommon Stock7837541041,71348,918SHSOLE668 0 48,250
Univar Solutions IncCommon Stock91336L1071,54848,149SHSOLE2,103 0 46,046
Clearfield IncCommon Stock18482P1033,13448,059SHSOLE6,093 0 41,966
United States Steel CorpCommon Stock9129091081,79147,457SHSOLE2,069 0 45,388
SpartanNash CoCommon Stock8472151001,55547,126SHSOLE643 0 46,483
WillScot Mobile Mini Holdings CorpCommon Stock9713781041,83246,816SHSOLE2,040 0 44,776
Grindrod Shipping Holdings LtdCommon StockY288951031,18746,650SHSOLE46,650 0 0
Hudson Global IncCommon Stock4437872051,89246,515SHSOLE15,331 0 31,184
PCB BancorpCommon Stock69320M1091,05646,001SHSOLE15,132 0 30,869
Five Star BancorpCommon Stock33830T1031,29445,737SHSOLE15,111 0 30,626
Olympic Steel IncCommon Stock68162K1061,74045,247SHSOLE14,897 0 30,350
Pacira BioSciences IncCommon Stock6951271003,44545,145SHSOLE1,372 0 43,773
Sterling Construction Co IncCommon Stock8592411011,20244,860SHSOLE612 0 44,248
Legacy Housing CorpCommon Stock52472M10194544,027SHSOLE14,536 0 29,491
Virtu Financial IncCommon Stock9282541011,63543,923SHSOLE1,909 0 42,014
KBR IncCommon Stock48242W1062,36443,186SHSOLE1,880 0 41,306
Murphy Oil CorpCommon Stock6267171021,74343,151SHSOLE1,884 0 41,267
Cargurus IncCommon Stock1417881091,82242,906SHSOLE1,871 0 41,035
MGP Ingredients IncCommon Stock55303J1063,56241,615SHSOLE1,234 0 40,381
Esquire Financial Holdings IncCommon Stock29667J1011,39741,570SHSOLE13,732 0 27,838
Monarch Casino & Resort IncCommon Stock6090271073,61741,463SHSOLE1,123 0 40,340
Wayside Technology Group IncCommon Stock9467601051,40741,140SHSOLE13,542 0 27,598
Evoqua Water Technologies CorpCommon Stock30057T1051,93141,096SHSOLE1,794 0 39,302
Intra-Cellular Therapies IncCommon Stock46116X1012,46840,330SHSOLE1,749 0 38,581
Whiting Petroleum CorpCommon Stock9663875083,27640,189SHSOLE1,150 0 39,039
Bluegreen Vacations Holding CorpCommon Stock0963081011,18440,035SHSOLE546 0 39,489
Metrocity Bankshares IncCommon Stock59165J10592939,581SHSOLE13,073 0 26,508
Cerberus Capital Management LPCommon Stock09624H2082,83539,435SHSOLE5,268 0 34,167
First Business Financial Services IncCommon Stock3193901001,26038,402SHSOLE12,637 0 25,765
Super Micro Computer IncCommon Stock86800U1041,46038,362SHSOLE894 0 37,468
Commercial Metals CoCommon Stock2017231031,59638,352SHSOLE1,675 0 36,677
StoneX Group IncCommon Stock8618961082,83538,191SHSOLE1,103 0 37,088
First Internet BancorpCommon Stock3205571011,63237,941SHSOLE6,988 0 30,953
CTO Realty Growth IncCommon Stock22948Q1012,49537,624SHSOLE6,349 0 31,275
CBIZ IncCommon Stock1248051021,53336,517SHSOLE499 0 36,018
Kura Sushi USA IncCommon Stock5012701022,00836,409SHSOLE5,925 0 30,484
Zurn Water Solutions CorpCommon Stock98983L1081,27035,863SHSOLE1,544 0 34,319
South Plains Financial IncCommon Stock83946P10793034,981SHSOLE11,503 0 23,478
Vidler Water Resouces IncCommon Stock92660E10753634,718SHSOLE11,462 0 23,256
Silgan Holdings IncCommon Stock8270481091,60534,712SHSOLE1,513 0 33,199
A-Mark Precious Metals IncCommon Stock00181T1072,68234,681SHSOLE6,318 0 28,363
Amerant Bancorp IncCommon Stock0235761011,09034,519SHSOLE471 0 34,048
SilverBow Resources IncCommon Stock82836G1021,10334,466SHSOLE11,379 0 23,087
OFG BancorpCommon Stock67103X10291234,221SHSOLE467 0 33,754
Stratus Properties IncCommon Stock8631672011,47134,149SHSOLE11,279 0 22,870
Krystal Biotech IncCommon Stock5011471022,25433,878SHSOLE1,021 0 32,857
PASL Holding LLCCommon Stock5917741043,40333,439SHSOLE4,815 0 28,624
Hawkins IncCommon Stock4202611091,53133,362SHSOLE455 0 32,907
Franklin Covey CoCommon Stock3534691091,50133,197SHSOLE455 0 32,742
Cactus IncCommon Stock1272031071,88333,180SHSOLE1,453 0 31,727
Envista Holdings CorpCommon Stock29415F1041,61633,172SHSOLE1,441 0 31,731
Mr Cooper Group IncCommon Stock62482R1071,51533,172SHSOLE1,444 0 31,728
Nicolet Bankshares IncCommon Stock65406E1023,10333,166SHSOLE975 0 32,191
New Fortress Energy IncCommon Stock6443931001,40232,896SHSOLE1,430 0 31,466
Atlas Air Worldwide Holdings IncCommon Stock0491642052,81532,589SHSOLE956 0 31,633
Matador Resources CoCommon Stock5764852051,67231,557SHSOLE1,372 0 30,185
California Resources CorpCommon Stock13057Q3051,37030,639SHSOLE1,337 0 29,302
Lee Enterprises IncCommon Stock52376840682230,519SHSOLE10,076 0 20,443
Sealed Air CorpCommon Stock81211K1002,03130,332SHSOLE1,312 0 29,020
Meridian CorpCommon Stock58958P10495529,751SHSOLE9,822 0 19,929
Artesian Resources CorpCommon Stock0431132081,43029,458SHSOLE9,730 0 19,728
Arnold Bernhard & Co IncCommon Stock9204371001,93228,842SHSOLE9,489 0 19,353
SeaWorld Entertainment IncCommon Stock81282V1002,13928,735SHSOLE1,246 0 27,489
Cabot CorpCommon Stock1270551011,96428,716SHSOLE1,251 0 27,465
AdvanSix IncCommon Stock00773T1011,45428,453SHSOLE1,242 0 27,211
Southern Missouri Bancorp IncCommon Stock8433801061,40228,078SHSOLE9,283 0 18,795
St Joe Co/TheCommon Stock7901481001,65627,946SHSOLE1,220 0 26,726
Greenbrier Cos Inc/TheCommon Stock3936571011,43927,927SHSOLE381 0 27,546
MP Materials CorpCommon Stock5533681011,53426,744SHSOLE1,166 0 25,578
Triton International LtdCommon StockG9078F1071,73724,750SHSOLE1,084 0 23,666
CyberOptics CorpCommon Stock2325171021,00224,683SHSOLE8,146 0 16,537
H&E Equipment Services IncCommon Stock4040301081,07124,614SHSOLE336 0 24,278
Dutch Bros IncCommon Stock26701L1001,31923,869SHSOLE1,040 0 22,829
Boyd Gaming CorpCommon Stock1033041011,56923,858SHSOLE1,037 0 22,821
Oasis Petroleum IncCommon Stock6742152073,44323,534SHSOLE633 0 22,901
PDC Energy IncCommon Stock69327R1011,62422,341SHSOLE973 0 21,368
Enviva IncCommon Stock29415B1031,75622,192SHSOLE971 0 21,221
MaxLinear IncCommon Stock57776J1001,28722,064SHSOLE961 0 21,103
Marcus & Millichap IncCommon Stock5663241091,13621,556SHSOLE295 0 21,261
Kforce IncCommon Stock4937321011,58421,419SHSOLE292 0 21,127
Golden Entertainment IncCommon Stock3810131011,23321,229SHSOLE290 0 20,939
First Industrial Realty Trust IncCommon Stock32054K1031,27720,619SHSOLE897 0 19,722
Chesapeake Energy CorpCommon Stock1651677351,78120,475SHSOLE892 0 19,583
Veritiv CorpCommon Stock9234541022,54019,010SHSOLE565 0 18,445
Tenet Healthcare CorpCommon Stock88033G4071,63118,976SHSOLE824 0 18,152
Materion CorpCommon Stock5766901011,56918,296SHSOLE250 0 18,046
Precision Drilling CorpCommon Stock74022D4071,31917,848SHSOLE17,848 0 0
Intrepid Potash IncCommon Stock46121Y2011,46317,809SHSOLE243 0 17,566
Ingles Markets IncCommon Stock4570301041,56917,624SHSOLE241 0 17,383
BancFirst CorpCommon Stock05945F1031,46617,616SHSOLE240 0 17,376
ServisFirst Bancshares IncCommon Stock81768T1081,67717,595SHSOLE768 0 16,827
McGrath RentCorpCommon Stock5805891091,38916,348SHSOLE223 0 16,125
Preferred Bank/Los Angeles CACommon Stock7403674041,15215,546SHSOLE212 0 15,334
Rexford Industrial Realty IncCommon Stock76169C1001,15115,426SHSOLE671 0 14,755
Hub Group IncCommon Stock4433201061,16915,142SHSOLE206 0 14,936
Hyatt Hotels CorpCommon Stock4485791021,43815,066SHSOLE656 0 14,410
Matson IncCommon Stock57686G1051,75514,551SHSOLE631 0 13,920
Transcat IncCommon Stock8935291071,14814,148SHSOLE4,673 0 9,475
Onto Innovation IncCommon Stock6833441051,22614,113SHSOLE616 0 13,497
GATX CorpCommon Stock3614481031,67713,601SHSOLE594 0 13,007
iRhythm Technologies IncCommon Stock4500561062,06913,137SHSOLE572 0 12,565
Boise Cascade CoCommon Stock09739D10089312,860SHSOLE175 0 12,685
Herc Holdings IncCommon Stock42704L1042,10812,613SHSOLE383 0 12,230
Biohaven Pharmaceutical Holding Co LtdCommon StockG111961051,44812,216SHSOLE532 0 11,684
Qualys IncCommon Stock74758T3031,73212,162SHSOLE531 0 11,631
Atkore IncCommon Stock0476491081,12511,431SHSOLE497 0 10,934
Curtiss-Wright CorpCommon Stock2315611011,66811,110SHSOLE483 0 10,627
Cullen/Frost Bankers IncCommon Stock2298991091,53511,093SHSOLE481 0 10,612
Synaptics IncCommon Stock87157D1092,21311,091SHSOLE483 0 10,608
Nabors Industries LtdCommon StockG6359F1371,65810,856SHSOLE147 0 10,709
WESCO International IncCommon Stock95082P1051,2859,872SHSOLE429 0 9,443
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SiTime CorpCommon Stock82982T1061,7617,105SHSOLE310 0 6,795
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ArcBest CorpCommon Stock03937C1054695,827SHSOLE80 0 5,747
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CACI International IncCommon Stock1271903041,6175,366SHSOLE233 0 5,133