Universe · entity

GENEVA CAPITAL MANAGEMENT LLC

Institutional manager (13F) · CIK 1009232
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3.9B
#IssuerValueShares
1RBC Bearings Inc$208M382,964
2ESCO Technologies Inc.$176M626,496
3Construction Partners Inc.$173M1,561,051
4Globus Med Inc$152M1,760,971
5Onto Innovation Inc.$145M705,943
6Balchem Corp$143M846,495
7Aaon Inc$142M1,721,631
8Texas Roadhouse Inc$132M796,723
9ExlService Holdings Inc.$130M4,257,091
10Exponent Inc$117M1,795,507
11Novanta Inc$110M931,270
12Kinsale Capital Group Inc$98M287,935
13Healthequity Inc$98M1,174,070
14Descartes Systems Group Inc.$95M1,328,014
15Casella Waste Systems, Inc.$92M1,163,087
16Ollies Bargain Outlet Holdings Inc.$89M964,329
17Tyler Technologies Inc.$85M247,756
18Siteone Landscape Supply Inc$83M627,284
19Lemaitre Vascular Inc.$82M753,992
20Repligen Corporation$82M693,738
21Digi International Inc.$78M1,612,365
22SPX Technologies, Inc.$78M388,434
23MACOM Technology Solutions Holdings Inc.$76M343,759
24FirstService Corp.$73M527,572
25Keysight Technologies, Inc.$69M245,852
26Bright Horizons Family Solutions Inc Del$65M792,427
27Bio-Techne Corp$65M1,243,043
28Valvoline Inc$60M1,789,709
29Dorman Products Inc.$59M564,356
30WD-40 Co.$58M282,449
31Eplus Inc$57M759,517
32Vericel Corporation$53M1,646,818
33Axos Financial Inc$52M608,081
34Donaldson Co Inc$51M604,371
35Agilysys Inc$48M672,470
36Rollins Inc$47M884,467
37Alarm.com Holdings Inc.$46M1,070,083
38Monolithic Power Systems Inc.$43M39,751
39Burlington Stores Inc.$43M132,865
40Axon Enterprise Inc$41M96,728
41Option Care Health Inc$40M1,474,121
42O'Reilly Automotive Inc.$38M412,599
43Loar Holdings Inc$38M662,118
44Amphenol Corporation$38M298,071
45Advanced Drainage System Inc$35M255,923
46I3 Verticals INC$35M1,555,904
47J&J Snack Foods Corp$33M416,457
48Heico Corp$31M148,712
49Church & Dwight Co Inc.$29M305,804
50Blackbaud Inc$28M719,100
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.