Universe · entity

Champlain Investment Partners, LLC

Institutional manager (13F) · CIK 1315478
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $5.3B
#IssuerValueShares
1TRADEWEB MKTS INC$173M1,469,486
2PENUMBRA INC$161M491,382
3EOG RES INC$153M1,059,630
4SYNOPSYS INC$153M384,815
5NUTANIX INC$152M4,010,155
6FASTENAL CO$135M2,901,213
7AAON INC$133M1,602,006
8VEEVA SYS INC$130M738,449
9AKAMAI TECHNOLOGIES INC$129M1,125,340
10ESAB CORPORATION$126M1,304,834
11EVERPURE INC$123M2,080,762
12IDEX CORP$121M640,274
13ARCH CAP GROUP LTD$121M1,262,285
14TEXAS PACIFIC LAND CORPORATI$120M252,962
15CULLEN FROST BANKERS INC$117M855,190
16FLOOR & DECOR HLDGS INC$116M2,273,664
17COOPER COS INC$115M1,608,090
18CAVA GROUP INC$113M1,397,381
19WYNDHAM HOTELS & RESORTS INC$112M1,377,897
20COMMERCE BANCSHARES INC$111M2,265,303
21HAMILTON LANE INC$108M1,087,227
22WW GRAINGER INC$108M98,629
23CARLISLE COS INC$106M316,975
24OKTA INC$106M1,340,535
25MSA SAFETY INC$105M641,879
26HOULIHAN LOKEY INC$103M717,724
27DOMINOS PIZZA INC$102M285,414
28AMETEK INC$91M425,358
29SPROUTS FMRS MKT INC$91M1,181,630
30TRACTOR SUPPLY CO$91M2,011,884
31WASTE CONNECTIONS INC$90M556,985
32METTLER TOLEDO INTERNATIONAL$89M70,206
33XYLEM INC$87M731,680
34WINGSTOP INC$84M544,415
35CELSIUS HLDGS INC$84M2,374,680
36PROCORE TECHNOLOGIES INC$84M1,469,355
37WATERS CORP$83M279,840
38DATADOG INC$83M703,503
39EDWARDS LIFESCIENCES CORP$83M1,033,497
40GITLAB INC$82M3,810,238
41MSCI INC$82M152,234
42REPLIGEN CORP$82M693,855
43TOAST INC$81M3,068,101
44AXON ENTERPRISE INC$81M191,280
45AUTODESK INC$80M334,930
46E L F BEAUTY INC$78M1,292,895
47RYAN SPECIALTY HOLDINGS INC$77M2,269,707
48BIO-TECHNE CORP$76M1,454,171
49CHEWY INC$74M2,750,304
50KINSALE CAP GROUP INC$73M214,815
All filings on EDGAR ↗

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