Universe · entity
Van Berkom & Associates Inc.
Institutional manager (13F) · CIK 1524408
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | STONEX GROUP INC. | $112k | 1,384,258 |
| 2 | DIGITALOCEAN HLDGS INC. | $111k | 1,293,461 |
| 3 | LAUREATE EDUCATION INC. | $108k | 3,103,260 |
| 4 | ENSIGN GROUP INC. | $105k | 520,197 |
| 5 | VICTORY CAP HLDGS INC. COM CL A | $102k | 1,554,858 |
| 6 | GRAND CANYON EDUCATION INC. | $100k | 585,558 |
| 7 | CHARLES RIVER LABORATORIES | $86k | 501,152 |
| 8 | PRIVIA HEALTH GROUP INC | $83k | 4,053,043 |
| 9 | HAMILTON LANE INC. | $83k | 833,307 |
| 10 | EURONET WORLDWIDE INC. | $83k | 1,246,308 |
| 11 | PENNANT GROUP INC. | $81k | 2,669,434 |
| 12 | CCC INTELLIGENT SOLUTIONS HLD | $81k | 13,515,096 |
| 13 | MODINE MFG CO | $79k | 365,694 |
| 14 | BANK OZK | $79k | 1,724,400 |
| 15 | FEDERAL SIGNAL CORP. | $78k | 724,341 |
| 16 | FTI CONSULTING INC. | $78k | 440,950 |
| 17 | RLI CORP. | $77k | 1,341,985 |
| 18 | SHAKE SHACK INC. CL A | $75k | 849,310 |
| 19 | MAXIMUS INC. | $75k | 1,172,190 |
| 20 | NMI HOLDINGS INC. | $75k | 1,990,397 |
| 21 | PLANET FITNESS INC CL A | $74k | 990,819 |
| 22 | ARMSTRONG WORLD INDS INC. | $74k | 446,572 |
| 23 | GATES INDL CORP PLC ORD SHS | $70k | 3,098,425 |
| 24 | TETRA TECH INC | $69k | 2,285,788 |
| 25 | PAYLOCITY HLDG CORP. | $67k | 616,407 |
| 26 | PRIMORIS SERVICES CORP. | $66k | 462,583 |
| 27 | ORMAT TECHNOLOGIES INC. | $65k | 578,734 |
| 28 | ESAB CORPORATION | $63k | 656,272 |
| 29 | CHEMED CORP. | $62k | 165,088 |
| 30 | SPX TECHNOLOGIES INC. | $61k | 306,506 |
| 31 | BRIGHTVIEW HLDGS INC | $59k | 5,038,617 |
| 32 | HOULIHAN LOKEY INC. | $58k | 405,978 |
| 33 | RADNET INC. | $57k | 1,028,586 |
| 34 | EPAM SYS INC. | $55k | 408,920 |
| 35 | FIVE9 INC | $51k | 3,333,136 |
| 36 | WILLSCOT HOLDINGS CORPORATION | $50k | 2,879,952 |
| 37 | FLOOR & DECOR HLDGS INC CL A | $46k | 902,361 |
| 38 | PHOENIX ED PARTNERS INC | $43k | 1,370,381 |
| 39 | OPTION CARE HEALTH INC COM NEW | $43k | 1,587,636 |
| 40 | SPS COMM INC | $38k | 678,236 |
| 41 | VITAL FARMS INC | $32k | 2,261,533 |
| 42 | BLACKBAUD INC. | $28k | 718,655 |
| 43 | ATS CORPORATION | $7k | 257,360 |
| 44 | MDA SPACE LTD. | $6k | 223,532 |
| 45 | BOYD GROUP SVCS INC. | $5k | 39,114 |
| 46 | COLLIERS INTERNATIONAL GROUP INC. | $4k | 41,351 |
| 47 | LAZARD INC | $3k | 64,831 |
| 48 | ATOUR LIFESTYLE HLDGS LTD SPONSORED | $3k | 70,343 |
| 49 | STEVANATO GROUP S P A ORD SHS | $2k | 170,994 |
| 50 | API GROUP | $2k | 43,067 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.