Universe · entity
GENEVA CAPITAL MANAGEMENT LLC
Institutional manager (13F) · CIK 1009232
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3.9B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | RBC Bearings Inc | $208M | 382,964 |
| 2 | ESCO Technologies Inc. | $176M | 626,496 |
| 3 | Construction Partners Inc. | $173M | 1,561,051 |
| 4 | Globus Med Inc | $152M | 1,760,971 |
| 5 | Onto Innovation Inc. | $145M | 705,943 |
| 6 | Balchem Corp | $143M | 846,495 |
| 7 | Aaon Inc | $142M | 1,721,631 |
| 8 | Texas Roadhouse Inc | $132M | 796,723 |
| 9 | ExlService Holdings Inc. | $130M | 4,257,091 |
| 10 | Exponent Inc | $117M | 1,795,507 |
| 11 | Novanta Inc | $110M | 931,270 |
| 12 | Kinsale Capital Group Inc | $98M | 287,935 |
| 13 | Healthequity Inc | $98M | 1,174,070 |
| 14 | Descartes Systems Group Inc. | $95M | 1,328,014 |
| 15 | Casella Waste Systems, Inc. | $92M | 1,163,087 |
| 16 | Ollies Bargain Outlet Holdings Inc. | $89M | 964,329 |
| 17 | Tyler Technologies Inc. | $85M | 247,756 |
| 18 | Siteone Landscape Supply Inc | $83M | 627,284 |
| 19 | Lemaitre Vascular Inc. | $82M | 753,992 |
| 20 | Repligen Corporation | $82M | 693,738 |
| 21 | Digi International Inc. | $78M | 1,612,365 |
| 22 | SPX Technologies, Inc. | $78M | 388,434 |
| 23 | MACOM Technology Solutions Holdings Inc. | $76M | 343,759 |
| 24 | FirstService Corp. | $73M | 527,572 |
| 25 | Keysight Technologies, Inc. | $69M | 245,852 |
| 26 | Bright Horizons Family Solutions Inc Del | $65M | 792,427 |
| 27 | Bio-Techne Corp | $65M | 1,243,043 |
| 28 | Valvoline Inc | $60M | 1,789,709 |
| 29 | Dorman Products Inc. | $59M | 564,356 |
| 30 | WD-40 Co. | $58M | 282,449 |
| 31 | Eplus Inc | $57M | 759,517 |
| 32 | Vericel Corporation | $53M | 1,646,818 |
| 33 | Axos Financial Inc | $52M | 608,081 |
| 34 | Donaldson Co Inc | $51M | 604,371 |
| 35 | Agilysys Inc | $48M | 672,470 |
| 36 | Rollins Inc | $47M | 884,467 |
| 37 | Alarm.com Holdings Inc. | $46M | 1,070,083 |
| 38 | Monolithic Power Systems Inc. | $43M | 39,751 |
| 39 | Burlington Stores Inc. | $43M | 132,865 |
| 40 | Axon Enterprise Inc | $41M | 96,728 |
| 41 | Option Care Health Inc | $40M | 1,474,121 |
| 42 | O'Reilly Automotive Inc. | $38M | 412,599 |
| 43 | Loar Holdings Inc | $38M | 662,118 |
| 44 | Amphenol Corporation | $38M | 298,071 |
| 45 | Advanced Drainage System Inc | $35M | 255,923 |
| 46 | I3 Verticals INC | $35M | 1,555,904 |
| 47 | J&J Snack Foods Corp | $33M | 416,457 |
| 48 | Heico Corp | $31M | 148,712 |
| 49 | Church & Dwight Co Inc. | $29M | 305,804 |
| 50 | Blackbaud Inc | $28M | 719,100 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.