Universe · entity
Pier Capital, LLC
Institutional manager (13F) · CIK 1310051
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $406M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Mirion Technologies Inc | $13M | 703,811 |
| 2 | Hexcel Corp | $13M | 159,377 |
| 3 | Fulton Financial Corp | $11M | 533,644 |
| 4 | DigitalOcean Holdings Inc | $11M | 122,466 |
| 5 | Applied Industrial Technologies Inc | $10M | 39,507 |
| 6 | Saia Inc | $10M | 28,764 |
| 7 | Alignment Healthcare Inc | $9M | 537,050 |
| 8 | Semtech Corp | $9M | 122,962 |
| 9 | OneSpaWorld Holdings Ltd | $9M | 405,098 |
| 10 | IMAX Corp | $9M | 239,898 |
| 11 | Flowserve Corp | $9M | 123,232 |
| 12 | AngioDynamics Inc | $9M | 796,696 |
| 13 | CECO Environmental Corp | $9M | 150,245 |
| 14 | Advanced Drainage Systems Inc | $9M | 63,860 |
| 15 | AZZ Inc | $9M | 69,716 |
| 16 | Glacier Bancorp Inc | $9M | 192,666 |
| 17 | Lattice Semiconductor Corp | $8M | 89,683 |
| 18 | ESCO Technologies Inc | $8M | 29,469 |
| 19 | Houlihan Lokey Inc | $8M | 56,145 |
| 20 | Onto Innovation Inc | $8M | 39,059 |
| 21 | Cognex Corp | $8M | 162,966 |
| 22 | National Vision Holdings Inc | $8M | 307,642 |
| 23 | Moelis & Co | $8M | 138,822 |
| 24 | Birkenstock Holding plc | $8M | 220,241 |
| 25 | ArcBest Corp | $8M | 79,719 |
| 26 | Interparfums Inc | $8M | 85,991 |
| 27 | SiteOne Landscape Supply Inc | $8M | 58,412 |
| 28 | Seacoast Banking Corp of Florida | $8M | 252,880 |
| 29 | Universal Technical Institute Inc | $8M | 210,443 |
| 30 | Establishment Labs Holdings Inc | $8M | 133,567 |
| 31 | Kodiak Gas Services Inc | $7M | 128,194 |
| 32 | Valmont Industries Inc | $7M | 18,695 |
| 33 | nLight Inc | $7M | 129,178 |
| 34 | Powell Industries Inc | $7M | 13,358 |
| 35 | Belden Inc | $7M | 62,914 |
| 36 | Allegro Microsystems Inc | $7M | 226,566 |
| 37 | Commvault Systems Inc | $7M | 91,102 |
| 38 | Fabrinet | $7M | 13,425 |
| 39 | MSA Safety Inc | $7M | 42,070 |
| 40 | Camtek Ltd | $7M | 45,284 |
| 41 | Herc Holdings Inc | $7M | 67,893 |
| 42 | Cavco Industries Inc | $7M | 13,839 |
| 43 | RadNet Inc | $7M | 118,889 |
| 44 | Viavi Solutions Inc | $7M | 199,138 |
| 45 | Modine Manufacturing Co | $7M | 30,286 |
| 46 | The Vita Coco Company Inc | $6M | 135,641 |
| 47 | Sensient Technologies Corp | $6M | 74,309 |
| 48 | Champion Homes Inc | $6M | 86,298 |
| 49 | Roivant Sciences Ltd | $6M | 227,093 |
| 50 | Repligen Corp | $6M | 53,119 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.