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:
03-31-2021
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]
05-10-2021
                           [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:
322
Form 13F Information table Value Total:
664247
          (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
Ur-Energy IncCommon Stock91688R1081,080981,390SHSOLE306,910 0 674,480
Affimed NVCommon StockN010451083,900493,023SHSOLE33,645 0 459,378
Newpark Resources IncCommon Stock6517185041,344428,078SHSOLE133,390 0 294,688
VistaGen Therapeutics IncCommon Stock92840H202836392,455SHSOLE122,673 0 269,782
Daseke IncCommon Stock23753F1073,224379,784SHSOLE56,899 0 322,885
Rimini Street IncCommon Stock76674Q1073,387377,595SHSOLE26,604 0 350,991
RR Donnelley & Sons CoCommon Stock2578672001,376338,860SHSOLE105,608 0 233,252
Babcock & Wilcox Enterprises IncCommon Stock05614L2093,110328,368SHSOLE66,569 0 261,799
Milestone Scientific IncCommon Stock59935P2091,122314,400SHSOLE98,266 0 216,134
RPC IncCommon Stock7496601061,688312,637SHSOLE4,163 0 308,474
Alphatec Holdings IncCommon Stock02081G2014,892309,847SHSOLE21,177 0 288,670
Commercial Vehicle Group IncCommon Stock2026081052,971307,904SHSOLE48,480 0 259,424
MannKind CorpCommon Stock56400P7061,185302,173SHSOLE4,023 0 298,150
Energy Fuels Inc/CanadaCommon Stock2926717081,650290,528SHSOLE3,868 0 286,660
ProPetro Holding CorpCommon Stock74347M1083,010282,351SHSOLE20,562 0 261,789
Quest Resource Holding CorpCommon Stock74836W2031,022262,103SHSOLE81,930 0 180,173
Amneal Pharmaceuticals IncCommon Stock03168L1051,749259,873SHSOLE3,460 0 256,413
AXT IncCommon Stock00246W1032,983255,830SHSOLE39,540 0 216,290
Organogenesis Holdings IncCommon Stock68621F1024,548249,606SHSOLE15,734 0 233,872
Clean Energy Fuels CorpCommon Stock1844991013,387246,486SHSOLE17,348 0 229,138
Stereotaxis IncCommon Stock85916J4091,634243,130SHSOLE3,237 0 239,893
ONE Group Hospitality Inc/TheCommon Stock88338K1031,794239,808SHSOLE74,760 0 165,048
eMagin CorpCommon Stock29076N206883236,140SHSOLE73,816 0 162,324
Accuray IncCommon Stock0043971051,149232,107SHSOLE72,554 0 159,553
Callaway Golf CoCommon Stock1311931045,939222,015SHSOLE8,191 0 213,824
Barnes & Noble Education IncCommon Stock06777U1011,720211,269SHSOLE65,831 0 145,438
Harvard Bioscience IncCommon Stock4169061051,130206,989SHSOLE64,465 0 142,524
Aclaris Therapeutics IncCommon Stock00461U1055,173205,295SHSOLE15,723 0 189,572
Innodata IncCommon Stock4576422051,198190,102SHSOLE59,201 0 130,901
US Global Investors IncCommon Stock9029521001,315188,398SHSOLE58,917 0 129,481
Extreme Networks IncCommon Stock30226D1061,622185,355SHSOLE2,466 0 182,889
Brightcove IncCommon Stock10921T1013,719184,848SHSOLE12,430 0 172,418
VirTra IncCommon Stock92827K3011,132184,130SHSOLE57,390 0 126,740
IRIDEX CorpCommon Stock4626841011,238183,349SHSOLE57,339 0 126,010
ACON Investments LLCCommon Stock3610081053,597182,766SHSOLE13,513 0 169,253
Ampco-Pittsburgh CorpCommon Stock0320371031,228181,909SHSOLE56,883 0 125,026
Full House Resorts IncCommon Stock3596781091,526179,317SHSOLE55,779 0 123,538
Manning & Napier IncCommon Stock56382Q1021,160179,305SHSOLE56,071 0 123,234
Acacia Research CorpCommon Stock0038813071,181177,612SHSOLE55,301 0 122,311
Superior Industries International IncCommon Stock8681681051,006177,088SHSOLE55,356 0 121,732
Earthstone Energy IncCommon Stock27032D3041,266177,022SHSOLE55,142 0 121,880
AMMO IncCommon Stock00175J1071,016171,608SHSOLE53,449 0 118,159
Titan International IncCommon Stock88830M1021,581170,360SHSOLE53,031 0 117,329
EMCORE CorpCommon Stock290846203927169,818SHSOLE53,083 0 116,735
Computer Task Group IncCommon Stock2054771021,609168,517SHSOLE52,522 0 115,995
Usio IncCommon Stock9173131081,076167,529SHSOLE52,368 0 115,161
Radiant Logistics IncCommon Stock75025X1001,155166,204SHSOLE51,954 0 114,250
Casa Systems IncCommon Stock14713L1021,578165,627SHSOLE2,205 0 163,422
Quantum CorpCommon Stock7479065011,379165,522SHSOLE51,590 0 113,932
ChannelAdvisor CorpCommon Stock1591791003,809161,757SHSOLE11,387 0 150,370
Avaya Holdings CorpCommon Stock05351X1014,488160,102SHSOLE12,053 0 148,049
Antero Resources CorpCommon Stock03674X1061,605157,309SHSOLE2,094 0 155,215
Ribbon Communications IncCommon Stock7625441041,257153,120SHSOLE2,038 0 151,082
Shyft Group Inc/TheCommon Stock8256981035,579149,977SHSOLE8,563 0 141,414
Sabre CorpCommon Stock78573M1042,220149,920SHSOLE17,966 0 131,954
Horizon Global CorpCommon Stock44052W1041,489144,120SHSOLE44,891 0 99,229
Amtech Systems IncCommon Stock0323325041,680142,121SHSOLE44,235 0 97,886
Mogo IncCommon Stock60800C1091,181138,904SHSOLE138,372 0 532
Century Casinos IncCommon Stock1564921001,421138,326SHSOLE43,098 0 95,228
Luna Innovations IncCommon Stock5503511001,443137,054SHSOLE42,711 0 94,343
inTEST CorpCommon Stock4611471001,599135,423SHSOLE42,194 0 93,229
Apyx Medical CorpCommon Stock03837C1061,291133,630SHSOLE41,656 0 91,974
Avid Bioservices IncCommon Stock05368M1062,409132,144SHSOLE1,759 0 130,385
Bonanza Creek Energy IncCommon Stock0977934004,686131,147SHSOLE9,398 0 121,749
Identiv IncCommon Stock45170X2051,494130,388SHSOLE40,752 0 89,636
Aspen Aerogels IncCommon Stock04523Y1052,629129,245SHSOLE20,631 0 108,614
Rayonier Advanced Materials IncCommon Stock75508B1041,158127,639SHSOLE39,899 0 87,740
WideOpenWest IncCommon Stock96758W1011,714126,088SHSOLE1,678 0 124,410
Inspired Entertainment IncCommon Stock45782N1081,165125,453SHSOLE39,072 0 86,381
Rubius Therapeutics IncCommon Stock78116T1033,321125,309SHSOLE9,366 0 115,943
TimkenSteel CorpCommon Stock8873991031,458124,057SHSOLE38,788 0 85,269
Community Health Systems IncCommon Stock2036681081,657122,547SHSOLE1,631 0 120,916
Security National Financial CorpCommon Stock8147853091,143122,221SHSOLE38,219 0 84,002
Tilly's IncCommon Stock8868851021,380121,884SHSOLE38,097 0 83,787
Bain Capital LPCommon Stock86881A1005,359121,083SHSOLE7,747 0 113,336
Amyris IncCommon Stock03236M2002,276119,184SHSOLE14,429 0 104,755
Alta Equipment Group IncCommon Stock02128L1061,548119,110SHSOLE37,085 0 82,025
Townsquare Media IncCommon Stock8922311011,273118,634SHSOLE36,947 0 81,687
Sharps Compliance CorpCommon Stock8200171011,700118,317SHSOLE36,868 0 81,449
Ultra Clean Holdings IncCommon Stock90385V1076,751116,317SHSOLE6,453 0 109,864
Genco Shipping & Trading LtdCommon StockY2685T1311,146113,722SHSOLE35,557 0 78,165
General Finance CorpCommon Stock3698221011,374113,090SHSOLE35,367 0 77,723
VOXX International CorpCommon Stock91829F1042,152112,891SHSOLE17,399 0 95,492
Super League Gaming IncCommon Stock86804F202792112,493SHSOLE35,164 0 77,329
Primoris Services CorpCommon Stock74164F1033,715112,139SHSOLE8,110 0 104,029
InfuSystem Holdings IncCommon Stock45685K1022,244110,213SHSOLE17,081 0 93,132
Cowen IncCommon Stock2236226063,834109,088SHSOLE8,453 0 100,635
Mesa Air Group IncCommon Stock5904791351,466109,004SHSOLE34,089 0 74,915
Quotient Technology IncCommon Stock7491191031,780108,950SHSOLE1,450 0 107,500
American Industrial Partners LPCommon Stock7495271072,081108,612SHSOLE1,446 0 107,166
DiaMedica Therapeutics IncCommon Stock25253X207990108,232SHSOLE33,691 0 74,541
HyreCar IncCommon Stock44916T1071,053107,497SHSOLE33,461 0 74,036
Mattel IncCommon Stock5770811022,132107,012SHSOLE12,980 0 94,032
KalVista Pharmaceuticals IncCommon Stock4834971032,743106,777SHSOLE7,994 0 98,783
Revolve Group IncCommon Stock76156B1074,797106,765SHSOLE6,471 0 100,294
US Silica Holdings IncCommon Stock90346E1031,307106,380SHSOLE1,416 0 104,964
Lindblad Expeditions Holdings IncCommon Stock5352191091,986105,072SHSOLE1,399 0 103,673
Skyline Champion CorpCommon Stock8308301054,725104,401SHSOLE8,028 0 96,373
Aldeyra Therapeutics IncCommon Stock01438T1061,226103,191SHSOLE32,125 0 71,066
RADA Electronic Industries LtdCommon StockM818631241,234102,788SHSOLE102,399 0 389
LendingClub CorpCommon Stock52603A2081,669101,050SHSOLE1,345 0 99,705
Element Solutions IncCommon Stock28618M1061,843100,740SHSOLE12,122 0 88,618
Bancorp Inc/TheCommon Stock05969A1052,01797,359SHSOLE1,295 0 96,064
Calix IncCommon Stock13100M5093,37097,225SHSOLE6,703 0 90,522
Utz Brands IncCommon Stock9180901012,33994,355SHSOLE11,239 0 83,116
Curis IncCommon Stock2312692001,06393,930SHSOLE29,186 0 64,744
iCAD IncCommon Stock44934S2061,92990,908SHSOLE28,313 0 62,595
Fisker IncCommon Stock33813J1061,54589,736SHSOLE10,876 0 78,860
SunOpta IncCommon Stock8676EP1081,31288,807SHSOLE88,807 0 0
SM Energy CoCommon Stock78454L1001,44988,519SHSOLE1,178 0 87,341
Avid Technology IncCommon Stock05367P1001,86588,330SHSOLE1,176 0 87,154
Bally's CorpCommon Stock05875B1065,70387,760SHSOLE6,796 0 80,964
Select Medical Holdings CorpCommon Stock81619Q1052,98287,451SHSOLE10,567 0 76,884
Alpha & Omega Semiconductor LtdCommon StockG6331P1042,84386,944SHSOLE14,046 0 72,898
Bridgewater Bancshares IncCommon Stock1086211031,38385,647SHSOLE26,785 0 58,862
Natural Alternatives International IncCommon Stock6388423021,28383,560SHSOLE26,116 0 57,444
Selectquote IncCommon Stock8163073002,40781,582SHSOLE9,806 0 71,776
Sonos IncCommon Stock83570H1083,04581,269SHSOLE9,759 0 71,510
Atkore IncCommon Stock0476491085,76680,194SHSOLE6,231 0 73,963
Clearfield IncCommon Stock18482P1032,39079,311SHSOLE13,393 0 65,918
Dasan Networks IncCommon Stock2682111091,22878,987SHSOLE24,688 0 54,299
American Eagle Outfitters IncCommon Stock02553E1062,30478,787SHSOLE9,507 0 69,280
Norwegian Cruise Line Holdings LtdCommon StockG667211042,14977,885SHSOLE9,335 0 68,550
Shutterstock IncCommon Stock8256901006,93277,852SHSOLE2,757 0 75,095
Zedge IncCommon Stock98923T10492876,723SHSOLE23,983 0 52,740
Ranpak Holdings CorpCommon Stock75321W1031,52776,139SHSOLE1,017 0 75,122
Magnite IncCommon Stock55955D1003,14875,662SHSOLE5,020 0 70,642
Nature's Sunshine Products IncCommon Stock6390271011,48874,542SHSOLE23,215 0 51,327
Tidewater IncCommon Stock88642R10992473,736SHSOLE23,049 0 50,687
Alcoa CorpCommon Stock0138721062,38873,503SHSOLE8,831 0 64,672
Juniper Capital Advisors LPCommon Stock70788V10298073,111SHSOLE22,865 0 50,246
American Outdoor Brands IncCommon Stock02875D1091,83572,836SHSOLE22,701 0 50,135
Donnelley Financial Solutions IncCommon Stock25787G1002,01972,563SHSOLE966 0 71,597
Unisys CorpCommon Stock9092143061,84072,395SHSOLE963 0 71,432
Great Lakes Dredge & Dock CorpCommon Stock3906071091,05072,027SHSOLE959 0 71,068
Cambium Networks CorpCommon StockG177661093,35971,898SHSOLE10,637 0 61,261
Louisiana-Pacific CorpCommon Stock5463471053,97671,687SHSOLE8,777 0 62,910
Inotiv IncCommon Stock45783Q1001,42171,071SHSOLE22,143 0 48,928
Boise Cascade CoCommon Stock09739D1004,23070,704SHSOLE5,271 0 65,433
Vericel CorpCommon Stock92346J1083,92470,648SHSOLE4,787 0 65,861
Century Communities IncCommon Stock1565043004,24170,301SHSOLE5,023 0 65,278
Capital Bancorp IncCommon Stock1397371001,34669,772SHSOLE21,722 0 48,050
Cohu IncCommon Stock1925761062,86268,392SHSOLE5,280 0 63,112
Tempur Sealy International IncCommon Stock88023U1012,46467,390SHSOLE8,080 0 59,310
Ideaya Biosciences IncCommon Stock45166A1021,54165,571SHSOLE873 0 64,698
Commercial Metals CoCommon Stock2017231032,00565,027SHSOLE7,815 0 57,212
Magic Software Enterprises LtdCommon Stock55916610398564,743SHSOLE64,743 0 0
Bloomin' Brands IncCommon Stock0942351081,73964,299SHSOLE853 0 63,446
Scholar Rock Holding CorpCommon Stock80706P1033,24063,952SHSOLE4,495 0 59,457
KBR IncCommon Stock48242W1062,44263,600SHSOLE7,597 0 56,003
Perion Network LtdCommon StockM786731141,12062,597SHSOLE62,358 0 239
Prothena Corp PLCCommon StockG728001081,54961,657SHSOLE821 0 60,836
Cassava Sciences IncCommon Stock14817C1072,73460,831SHSOLE4,329 0 56,502
Urban Outfitters IncCommon Stock9170471022,24960,477SHSOLE7,298 0 53,179
Rocky Brands IncCommon Stock7745151003,22459,637SHSOLE11,555 0 48,082
Sanmina CorpCommon Stock8010561022,43458,825SHSOLE7,092 0 51,733
TG Therapeutics IncCommon Stock88322Q1082,82858,675SHSOLE4,970 0 53,705
Abercrombie & Fitch CoCommon Stock0028962072,00258,342SHSOLE777 0 57,565
Rekor Systems IncCommon Stock7594191041,16358,199SHSOLE18,097 0 40,102
Atlantic Capital Bancshares IncCommon Stock0482692031,39757,951SHSOLE18,124 0 39,827
SI-BONE IncCommon Stock8257041091,83557,689SHSOLE768 0 56,921
Camtek Ltd/IsraelCommon StockM207911051,70557,013SHSOLE57,013 0 0
Vuzix CorpCommon Stock92921W3001,42956,180SHSOLE744 0 55,436
R1 RCM IncCommon Stock7493971051,38356,028SHSOLE6,810 0 49,218
Coastal Financial Corp/WACommon Stock19046P2091,46455,854SHSOLE17,407 0 38,447
IntriCon CorpCommon Stock46121H1091,38554,033SHSOLE16,840 0 37,193
Rent-A-Center Inc/TXCommon Stock76009N1003,10553,854SHSOLE6,524 0 47,330
First Western Financial IncCommon Stock33751L1051,33453,345SHSOLE16,675 0 36,670
Builders FirstSource IncCommon Stock12008R1072,46053,062SHSOLE6,314 0 46,748
Sutro Biopharma IncCommon Stock8693671021,19852,643SHSOLE700 0 51,943
Tenet Healthcare CorpCommon Stock88033G4072,73252,532SHSOLE6,013 0 46,519
Unifi IncCommon Stock9046772001,43852,195SHSOLE16,255 0 35,940
Enova International IncCommon Stock29357K1031,84952,112SHSOLE694 0 51,418
Kura Sushi USA IncCommon Stock5012701021,64752,044SHSOLE16,276 0 35,768
Seacoast Banking Corp of FloridaCommon Stock8117078011,86551,468SHSOLE685 0 50,783
Sterling Construction Co IncCommon Stock8592411011,18851,198SHSOLE681 0 50,517
Intrusion IncCommon Stock46121E2051,19451,102SHSOLE15,922 0 35,180
BankUnited IncCommon Stock06652K1032,23150,762SHSOLE6,116 0 44,646
Teradata CorpCommon Stock88076W1031,93050,072SHSOLE6,121 0 43,951
Lydall IncCommon Stock5508191061,68549,949SHSOLE664 0 49,285
MP Materials CorpCommon Stock5533681011,78349,586SHSOLE5,946 0 43,640
QuinStreet IncCommon Stock74874Q10099849,156SHSOLE654 0 48,502
FARO Technologies IncCommon Stock3116421024,18848,380SHSOLE3,619 0 44,761
Vintage Capital Management LLCCommon Stock35180X1051,71247,415SHSOLE630 0 46,785
Herc Holdings IncCommon Stock42704L1044,75146,888SHSOLE3,244 0 43,644
SeaWorld Entertainment IncCommon Stock81282V1002,32846,875SHSOLE5,634 0 41,241
Airgain IncCommon Stock00938A10499346,856SHSOLE14,650 0 32,206
Kontoor Brands IncCommon Stock50050N1032,27046,779SHSOLE5,634 0 41,145
Fiesta Restaurant Group IncCommon Stock31660B10158646,513SHSOLE14,539 0 31,974
CAI International IncCommon Stock12477X1062,11246,407SHSOLE618 0 45,789
OneMain Holdings IncCommon Stock68268W1032,48746,302SHSOLE5,602 0 40,700
MVB Financial CorpCommon Stock5538101021,55245,927SHSOLE14,309 0 31,618
Lands' End IncCommon Stock51509F1051,13445,692SHSOLE608 0 45,084
Gatos Silver IncCommon Stock36803610945545,660SHSOLE608 0 45,052
Jabil IncCommon Stock4663131032,38145,655SHSOLE5,447 0 40,208
Acadia Healthcare Co IncCommon Stock00404A1092,55144,644SHSOLE5,459 0 39,185
Annovis Bio IncCommon Stock03615A1081,24544,640SHSOLE13,894 0 30,746
Mr Cooper Group IncCommon Stock62482R1071,54944,577SHSOLE5,410 0 39,167
Axcelis Technologies IncCommon Stock0545402081,81344,120SHSOLE587 0 43,533
OptimizeRx CorpCommon Stock68401U2042,13543,794SHSOLE6,130 0 37,664
Digital Turbine IncCommon Stock25400W1023,48343,343SHSOLE3,901 0 39,442
Boyd Gaming CorpCommon Stock1033041012,47241,932SHSOLE5,052 0 36,880
Glacier Bancorp IncCommon Stock37637Q1052,37041,516SHSOLE4,992 0 36,524
NEOGAMES SACommon StockL6673X1071,48341,459SHSOLE41,459 0 0
FB Financial CorpCommon Stock30257X1041,81440,802SHSOLE543 0 40,259
Chicken Soup for the Soul Holdings LLCCommon Stock16842Q10098040,720SHSOLE12,667 0 28,053
Ichor Holdings LtdCommon StockG4740B1052,18140,536SHSOLE539 0 39,997
GMS IncCommon Stock36251C1031,68740,414SHSOLE538 0 39,876
MDC Holdings IncCommon Stock5526761082,39640,344SHSOLE4,858 0 35,486
TripAdvisor IncCommon Stock8969452012,15340,020SHSOLE4,832 0 35,188
A-Mark Precious Metals IncCommon Stock00181T1071,40138,920SHSOLE12,166 0 26,754
First Bancorp/Southern Pines NCCommon Stock3189101061,68238,670SHSOLE515 0 38,155
Denbury IncCommon Stock24790A1011,77337,015SHSOLE491 0 36,524
TechTarget IncCommon Stock87874R1002,56936,995SHSOLE2,650 0 34,345
Halozyme Therapeutics IncCommon Stock40637H1091,52936,678SHSOLE4,434 0 32,244
TriCo BancsharesCommon Stock8960951061,73536,617SHSOLE487 0 36,130
Schnitzer Steel Industries IncCommon Stock8068821061,52036,365SHSOLE484 0 35,881
PubMatic IncCommon Stock74467Q1031,79336,345SHSOLE483 0 35,862
Brinker International IncCommon Stock1096411002,56636,116SHSOLE4,469 0 31,647
Cimarex Energy CoCommon Stock1717981012,14036,033SHSOLE4,331 0 31,702
USA Truck IncCommon Stock90292510667835,471SHSOLE11,008 0 24,463
Triton International LtdCommon StockG9078F1071,94735,402SHSOLE4,226 0 31,176
Regional Management CorpCommon Stock75902K1061,22735,398SHSOLE11,071 0 24,327
Avis Budget Group IncCommon Stock0537741052,56435,350SHSOLE4,226 0 31,124
Acme United CorpCommon Stock0048161041,39135,280SHSOLE10,986 0 24,294
Stock Yards Bancorp IncCommon Stock8610251041,79835,212SHSOLE468 0 34,744
Telos CorpCommon Stock87969B1011,33135,108SHSOLE467 0 34,641
Travel and Leisure CoCommon Stock8941641022,14435,052SHSOLE4,204 0 30,848
Ensign Group Inc/TheCommon Stock29358P1013,24834,611SHSOLE4,146 0 30,465
Upwork IncCommon Stock91688F1041,54734,565SHSOLE4,198 0 30,367
Betterware de Mexico SAB de CVCommon StockP1666E1051,32134,106SHSOLE34,106 0 0
Laredo Petroleum IncCommon Stock5168062051,00733,497SHSOLE10,471 0 23,026
Impinj IncCommon Stock4532041091,89033,227SHSOLE442 0 32,785
Rocket Pharmaceuticals IncCommon Stock77313F1061,44832,625SHSOLE3,932 0 28,693
Popular IncCommon Stock7331747002,28832,535SHSOLE3,922 0 28,613
Matson IncCommon Stock57686G1052,15132,254SHSOLE3,893 0 28,361
Transcat IncCommon Stock8935291071,52831,133SHSOLE9,732 0 21,401
Sailpoint Technologies Holdings IncCommon Stock78781P1051,57531,103SHSOLE3,709 0 27,394
Joint Corp/TheCommon Stock47973J1021,50431,096SHSOLE9,675 0 21,421
Central Garden & Pet CoCommon Stock1535272051,59830,792SHSOLE3,708 0 27,084
Penske Automotive Group IncCommon Stock70959W1032,43430,336SHSOLE3,650 0 26,686
Advanced Drainage Systems IncCommon Stock00790R1043,13130,286SHSOLE3,647 0 26,639
TTEC Holdings IncCommon Stock89854H1023,03030,169SHSOLE3,618 0 26,551
Pinnacle Financial Partners IncCommon Stock72346Q1042,65529,948SHSOLE3,728 0 26,220
Mistral Equity PartnersCommon Stock54738L1091,69129,870SHSOLE397 0 29,473
Interactive Brokers Group IncCommon Stock45841N1072,18029,852SHSOLE3,600 0 26,252
Southern First Bancshares IncCommon Stock8428731011,39829,821SHSOLE9,294 0 20,527
Robert Half International IncCommon Stock7703231032,30829,565SHSOLE3,569 0 25,996
Power REITCommon Stock73933H1011,33529,509SHSOLE9,193 0 20,316
Dick's Sporting Goods IncCommon Stock2533931022,24529,481SHSOLE3,547 0 25,934
MasTec IncCommon Stock5763231092,75929,446SHSOLE3,559 0 25,887
Open Lending CorpCommon Stock68373J1041,04129,401SHSOLE390 0 29,011
Aviat Networks IncCommon Stock05366Y2012,07529,204SHSOLE9,101 0 20,103
B Riley Financial IncCommon Stock05580M1081,63228,942SHSOLE385 0 28,557
XOMA CorpCommon Stock98419J2061,12527,555SHSOLE8,618 0 18,937
Quanta Services IncCommon Stock74762E1022,39427,208SHSOLE3,266 0 23,942
Lakeland Financial CorpCommon Stock5116561001,86826,991SHSOLE359 0 26,632
Sprout Social IncCommon Stock85209W1091,55226,876SHSOLE3,263 0 23,613
Diamondback Energy IncCommon Stock25278X1091,97326,851SHSOLE3,265 0 23,586
Diodes IncCommon Stock2545431012,14226,833SHSOLE3,231 0 23,602
ArcBest CorpCommon Stock03937C1051,84226,174SHSOLE348 0 25,826
Synaptics IncCommon Stock87157D1093,51425,948SHSOLE3,149 0 22,799
Darling Ingredients IncCommon Stock2372661011,90725,914SHSOLE3,142 0 22,772
Hibbett Sports IncCommon Stock4285671011,73925,247SHSOLE336 0 24,911
Shake Shack IncCommon Stock8190471012,84025,182SHSOLE3,071 0 22,111
Tontine Associates LLCCommon Stock44951W1061,26225,039SHSOLE333 0 24,706
Astec Industries IncCommon Stock0462241011,83624,341SHSOLE324 0 24,017
Mohawk Group Holdings IncCommon Stock60818910671724,300SHSOLE7,566 0 16,734
Helios Technologies IncCommon Stock42328H1091,75424,077SHSOLE320 0 23,757
Glaukos CorpCommon Stock3773221022,00023,828SHSOLE2,884 0 20,944
Brunswick Corp/DECommon Stock1170431092,25623,651SHSOLE2,840 0 20,811
Citi Trends IncCommon Stock17306X1021,93923,146SHSOLE3,663 0 19,483
Morphic Holding IncCommon Stock61775R1051,45122,933SHSOLE305 0 22,628
SYNNEX CorpCommon Stock87162W1002,58322,489SHSOLE2,719 0 19,770
Triumph Bancorp IncCommon Stock89679E3001,71022,097SHSOLE294 0 21,803
Oshkosh CorpCommon Stock6882392012,59921,899SHSOLE2,632 0 19,267
Penn National Gaming IncCommon Stock7075691092,26321,582SHSOLE2,588 0 18,994
EMCOR Group IncCommon Stock29084Q1002,40721,464SHSOLE2,587 0 18,877
John Bean Technologies CorpCommon Stock4778391042,85421,404SHSOLE2,567 0 18,837
AGCO CorpCommon Stock0010841023,05821,291SHSOLE2,549 0 18,742
LPL Financial Holdings IncCommon Stock50212V1003,01121,179SHSOLE2,562 0 18,617
RumbleON IncCommon Stock78138630592020,992SHSOLE6,533 0 14,459
PAR Technology CorpCommon Stock6988841031,35620,735SHSOLE276 0 20,459
RCI Hospitality Holdings IncCommon Stock74934Q1081,26819,945SHSOLE6,205 0 13,740
EnPro Industries IncCommon Stock29355X1071,64819,325SHSOLE257 0 19,068
Ambarella IncCommon StockG037AX1011,89418,866SHSOLE2,264 0 16,602
Workiva IncCommon Stock98139A1051,66418,859SHSOLE2,302 0 16,557
Domo IncCommon Stock2575541051,04118,501SHSOLE246 0 18,255
Omnicell IncCommon Stock68213N1092,34618,067SHSOLE2,331 0 15,736
Inari Medical IncCommon Stock45332Y1091,92718,006SHSOLE2,176 0 15,830
Johnson Outdoors IncCommon Stock4791671082,45717,212SHSOLE229 0 16,983
Nova Measuring Instruments LtdCommon StockM7516K1031,56117,147SHSOLE17,147 0 0
Thor Industries IncCommon Stock8851601012,26916,842SHSOLE2,031 0 14,811
Fathom Holdings IncCommon Stock31189V10961316,738SHSOLE2,438 0 14,300
Chart Industries IncCommon Stock16115Q3082,35816,567SHSOLE2,001 0 14,566
Reliance Steel & Aluminum CoCommon Stock7595091022,45016,089SHSOLE1,937 0 14,152
Cree IncCommon Stock2254471011,73516,049SHSOLE1,950 0 14,099
QAD IncCommon Stock74727D3061,02615,413SHSOLE205 0 15,208
Manhattan Associates IncCommon Stock5627501091,67914,308SHSOLE1,726 0 12,582
Signature Bank/New York NYCommon Stock82669G1043,15113,937SHSOLE1,680 0 12,257
Middleby Corp/TheCommon Stock5962781012,30213,891SHSOLE1,673 0 12,218
Marriott Vacations Worldwide CorpCommon Stock57164Y1072,32013,320SHSOLE1,588 0 11,732
Five Below IncCommon Stock33829M1012,53113,265SHSOLE1,595 0 11,670
Rogers CorpCommon Stock7751331012,48613,211SHSOLE1,587 0 11,624
AeroVironment IncCommon Stock0080731081,52913,174SHSOLE1,595 0 11,579
CSW Industrials IncCommon Stock1264021061,76113,044SHSOLE173 0 12,871
Valmont Industries IncCommon Stock9202531012,92312,299SHSOLE1,489 0 10,810
Lindsay CorpCommon Stock5355551061,87611,258SHSOLE149 0 11,109
Regal Beloit CorpCommon Stock7587501031,54310,816SHSOLE1,307 0 9,509
Kadant IncCommon Stock48282T1041,98810,748SHSOLE143 0 10,605
Churchill Downs IncCommon Stock1714841082,36710,409SHSOLE1,257 0 9,152
Profound Medical CorpCommon Stock74319B50220810,330SHSOLE10,330 0 0
First Citizens BancShares Inc/NCCommon Stock31946M1032,5603,063SHSOLE368 0 2,695
Texas Pacific Land CorpCommon Stock88262P1022,3781,496SHSOLE181 0 1,315
Allegiant Travel CoCommon Stock01748X1022,3679,700SHSOLE1,172 0 8,528
Lithia Motors IncCommon Stock5367971032,1345,471SHSOLE655 0 4,816
Deckers Outdoor CorpCommon Stock2435371072,0696,261SHSOLE751 0 5,510
Inspire Medical Systems IncCommon Stock4577301091,9949,632SHSOLE1,167 0 8,465
Littelfuse IncCommon Stock5370081041,7286,535SHSOLE792 0 5,743
Medifast IncCommon Stock58470H1011,6167,631SHSOLE915 0 6,716
Heska CorpCommon Stock42805E3061,4318,496SHSOLE113 0 8,383
Biohaven Pharmaceutical Holding Co LtdCommon StockG111961054987,286SHSOLE 0 0 7,286