Universe · entity
Summit Creek Advisors LLC
Institutional manager (13F) · CIK 1333709
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $471M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | LITTELFUSE, INC. | $18M | 52,989 |
| 2 | ADDUS HOMECARE | $15M | 161,290 |
| 3 | CASELLA WASTE SYSTEMS, INC. | $15M | 186,780 |
| 4 | CONSTRUCTION PARTNERS, INC. | $15M | 133,275 |
| 5 | HEALTHEQUITY | $13M | 161,123 |
| 6 | DIGITALOCEAN HOLDINGS INC | $13M | 153,655 |
| 7 | FIVE BELOW, INC. | $13M | 57,362 |
| 8 | FIRSTSERVICE CORP | $13M | 93,072 |
| 9 | BIO-TECHNE CORP. | $13M | 245,743 |
| 10 | OPTION CARE HEALTH, INC. | $12M | 444,577 |
| 11 | VERICEL CORPORATION | $12M | 365,277 |
| 12 | BOWMAN CONSULTING GROUP | $12M | 408,582 |
| 13 | LEMAITRE VASCULAR, INC. | $12M | 105,679 |
| 14 | WILLDAN GROUP, INC. | $11M | 147,536 |
| 15 | ONTERRIS INC COM | $11M | 511,160 |
| 16 | DESCARTES SYSTEMS GROUP | $11M | 154,587 |
| 17 | OLLIE'S BARGAIN OUTLET | $11M | 118,795 |
| 18 | LEGENCE CORP. | $11M | 192,967 |
| 19 | AMERIS BANCORP | $11M | 138,753 |
| 20 | BOOT BARN HOLDINGS | $11M | 72,097 |
| 21 | VITA COCO CO, INC. | $10M | 217,140 |
| 22 | REMITLY GLOBAL, INC. | $10M | 637,090 |
| 23 | PENNANT GROUP, INC. | $10M | 326,916 |
| 24 | CCC INTELLIGENT SOLUTIONS | $10M | 1,596,600 |
| 25 | EXLSERVICE HOLDINGS, INC. | $10M | 312,170 |
| 26 | PAYLOCITY HOLDINGS | $9M | 85,343 |
| 27 | CHEF'S WAREHOUSE, INC. | $9M | 153,772 |
| 28 | ZETA GLOBAL | $9M | 559,113 |
| 29 | SITEONE LANDSCAPE SUPPLY | $8M | 63,729 |
| 30 | ALARM.COM | $8M | 191,405 |
| 31 | EVERPURE INC CL A | $8M | 139,025 |
| 32 | GLOBAL-E ONLINE | $8M | 261,138 |
| 33 | NOVANTA, INC. | $8M | 65,404 |
| 34 | Q2 HOLDINGS, INC. | $8M | 163,293 |
| 35 | PEGASYSTEMS, INC. | $7M | 171,801 |
| 36 | VERACYTE, INC. | $7M | 225,894 |
| 37 | ARTIVION INC | $7M | 189,137 |
| 38 | DORMAN PRODUCTS, INC. | $7M | 64,921 |
| 39 | E. L. F. BEAUTY, INC. | $7M | 110,004 |
| 40 | CBIZ, INC. | $6M | 234,632 |
| 41 | DOLBY LABORATORIES | $6M | 101,302 |
| 42 | BIOLIFE SOLUTIONS, INC. | $6M | 309,350 |
| 43 | MEDPACE HOLDINGS, INC. | $6M | 12,245 |
| 44 | MIRION TECHNOLOGIES INC CL A | $6M | 315,880 |
| 45 | WORKIVA, INC. | $5M | 91,169 |
| 46 | TRANSCAT INC | $5M | 68,441 |
| 47 | FLOOR & DECOR HOLDINGS INC | $5M | 96,801 |
| 48 | AGILYSYS, INC. | $5M | 67,149 |
| 49 | GRID DYNAMICS | $5M | 819,664 |
| 50 | SPS COMMERCE | $5M | 82,108 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.