Holdings Channel
EntityShares/Amount
Change
Position Value
Change
GSHD +128,793+$9,763
BLD +24,162+$9,043
PNFP +100,129+$8,733
CCS +73,352+$6,685
SFM +138,378+$6,657
QTRX +210,636+$5,759
SKY +77,191+$5,732
QTWO +123,440+$5,359
INMD +199,848+$4,445
BOOT +55,117+$4,231
EntityShares/Amount
Change
Position Value
Change
AMED -97,083-$9,068
CXM -558,666-$7,732
SHLS -370,250-$6,757
PZZA -99,042-$6,757
PNT -732,936-$4,889
DUOL -28,564-$4,738
AEHR -95,733-$4,375
FOXF -42,075-$4,169
HQY -53,832-$3,932
DNUT -279,035-$3,480
EntityShares/Amount
Change
Position Value
Change
ATEC +148,553+$3,300
ARRY +144,381+$458
STVN +136,503+$3,677
EXLS +135,902+$4,509
SBCF +118,667+$4,428
RYZB +114,741+$10,368
DV +65,962+$4,096
DNLI +49,139+$1,159
SGRY +43,595+$2,003
LIND +42,973+$3,629
EntityShares/Amount
Change
Position Value
Change
SIBN -207,514-$4,460
ITCI -94,079-$3,825
WSC -85,861-$3,319
FTI -81,308-$1,697
GTLB -70,863-$671
PLAY -49,948+$638
FROG -49,010+$1,193
FCN -39,987-$6,697
MMS -33,756-$1,203
Size ($ in 1000's)
At 12/31/2023: $699,288
At 09/30/2023: $620,410

Pier Capital LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Pier Capital LLC 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Pier Capital LLC
As of  12/31/2023, we find all stocks held by Pier Capital LLC to be as follows, presented in the table below with each row detailing each Pier Capital LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Pier Capital LLC table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Pier Capital LLC as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
Hexcel Corp 205,790 -2,331 $15,177
     HXL205,790-2,331$15,177
Evercore Inc 75,423 +1,365 $12,901
     EVR75,423+1,365$12,901
Vaxcyte Inc 201,562 -2,166 $12,658
     PCVX201,562-2,166$12,658
RayzeBio Inc 195,653 +114,741 $12,164
     RYZB195,653+114,741$12,164
Maximus Inc 143,559 -33,756 $12,039
     MMS143,559-33,756$12,039
Calix Inc 274,262 +15,281 $11,983
     CALX274,262+15,281$11,983
Fabrinet 62,193 -993 $11,837
     FN62,193-993$11,837
Houlihan Lokey Inc 95,476 -936 $11,449
     HLI95,476-936$11,449
Installed Building Products Inc 59,140 -701 $10,812
     IBP59,140-701$10,812
Onespaworld 753,826 +15,592 $10,629
     OSW753,826+15,592$10,629
MSA Safety Inc 62,802 -804 $10,603
     MSA62,802-804$10,603
Vertex Inc 387,721 -3,789 $10,445
     VERX387,721-3,789$10,445
Ollie s Bargain Outlet Holdings Inc 136,639 -1,843 $10,370
     OLLI136,639-1,843$10,370
Applied Industrial Tech Inc 59,739 -559 $10,316
     AIT59,739-559$10,316
Advanced Drainage Systems Inc 70,077 +24,515 $9,856
     WMS70,077+24,515$9,856
Wingstop Inc 38,309 -769 $9,829
     WING38,309-769$9,829
Goosehead Insurance Inc 128,793 +128,793 $9,763
     GSHD128,793+128,793$9,763
Alphatec Holdings Inc 641,751 +148,553 $9,697
     ATEC641,751+148,553$9,697
RadNet Inc 275,623 -3,949 $9,583
     RDNT275,623-3,949$9,583
Five Below Inc 44,522 -637 $9,490
     FIVE44,522-637$9,490
DoubleVerify Holdings Inc 255,083 +65,962 $9,382
     DV255,083+65,962$9,382
Lindblad Expeditions Holdings Inc 815,606 +42,973 $9,192
     LIND815,606+42,973$9,192
Lattice Semiconductor Corp 133,171 +8,685 $9,187
     LSCC133,171+8,685$9,187
JFrog Ltd 263,403 -49,010 $9,116
     FROG263,403-49,010$9,116
TopBuild Corp 24,162 +24,162 $9,043
     BLD24,162+24,162$9,043
elf Beauty Inc 62,623 +5,868 $9,039
     ELF62,623+5,868$9,039
GitLab Inc 142,819 -70,863 $8,992
     GTLB142,819-70,863$8,992
Smartsheet Inc 188,047 -2,894 $8,992
     SMAR188,047-2,894$8,992
The AZEK Co Inc 231,774 -1,971 $8,865
     AZEK231,774-1,971$8,865
Herc Holdings Inc 59,091 +7,653 $8,798
     HRI59,091+7,653$8,798
Flowserve Corporation 212,706 -2,506 $8,768
     FLS212,706-2,506$8,768
Exponent Inc 99,464 -3,466 $8,757
     EXPO99,464-3,466$8,757
Pinnacle Financial Partners Inc 100,129 +100,129 $8,733
     PNFP100,129+100,129$8,733
Repligen Corp 48,553 +3,528 $8,730
     RGEN48,553+3,528$8,730
Freshpet Inc 100,303 -1,364 $8,702
     FRPT100,303-1,364$8,702
LiveRamp Holdings Inc 227,304 -2,920 $8,610
     RAMP227,304-2,920$8,610
Array Technologies Inc 509,442 +144,381 $8,559
     ARRY509,442+144,381$8,559
Surgery Partners Inc 265,486 +43,595 $8,493
     SGRY265,486+43,595$8,493
Texas Roadhouse Inc 68,655 -877 $8,392
     TXRH68,655-877$8,392
BlackLine Inc 133,075 -1,571 $8,309
     BL133,075-1,571$8,309
Dave and Busters Entertainment Inc 148,355 -49,948 $7,989
     PLAY148,355-49,948$7,989
Seacoast Banking Corporation 280,329 +118,667 $7,978
     SBCF280,329+118,667$7,978
Five9 Inc 100,523 +33,894 $7,910
     FIVN100,523+33,894$7,910
WNS Holdings Ltd 124,029 +4,303 $7,839
     WNS124,029+4,303$7,839
Option Care Health Inc 230,627 -3,758 $7,770
     OPCH230,627-3,758$7,770
Procore Technologies Inc 112,006 +1,885 $7,753
     PCOR112,006+1,885$7,753
Lindsay Corp 59,543 +10,259 $7,691
     LNN59,543+10,259$7,691
Exlservice Holdings Inc 248,449 +135,902 $7,665
     EXLS248,449+135,902$7,665
Global e Online Ltd 193,014 +3,345 $7,649
     GLBE193,014+3,345$7,649
Privia Health Group Inc 327,548 -3,449 $7,543
     PRVA327,548-3,449$7,543
Onto Innovation Inc 47,883 -843 $7,321
     ONTO47,883-843$7,321
BWX Technologies Inc 93,835 -1,068 $7,200
     BWXT93,835-1,068$7,200
Inter Parfums Inc 49,634 +5,982 $7,148
     IPAR49,634+5,982$7,148
Power Integrations Inc 86,469 -1,273 $7,100
     POWI86,469-1,273$7,100
Inari Medical Inc 107,568 -1,617 $6,983
     NARI107,568-1,617$6,983
Appfolio Inc 40,294 -737 $6,981
     APPF40,294-737$6,981
Shift4 Payments Inc 90,446 +27,033 $6,724
     FOUR90,446+27,033$6,724
Century Communities Inc 73,352 +73,352 $6,685
     CCS73,352+73,352$6,685
Sprouts Farmers Market Inc 138,378 +138,378 $6,657
     SFM138,378+138,378$6,657
Grocery Outlet Holding Corp 241,483 -3,583 $6,510
     GO241,483-3,583$6,510
Crocs Inc 67,157 +23,869 $6,273
     CROX67,157+23,869$6,273
IMAX Corp 392,643 -9,557 $5,897
     IMAX392,643-9,557$5,897
Immunocore Holdings PLC 86,202 -1,220 $5,889
     IMCR86,202-1,220$5,889
Axcelis Technologies Inc 44,452 -928 $5,765
     ACLS44,452-928$5,765
Quanterix Corporation 210,636 +210,636 $5,759
     QTRX210,636+210,636$5,759
Skyline Champion Corp 77,191 +77,191 $5,732
     SKY77,191+77,191$5,732
The Vita Coco Company Inc 211,112 -3,916 $5,415
     COCO211,112-3,916$5,415
Q2 Holdings Inc 123,440 +123,440 $5,359
     QTWO123,440+123,440$5,359
Globant SA 21,457 -454 $5,106
     GLOB21,457-454$5,106
Halozyme Therapeutics Inc 129,479 -2,426 $4,786
     HALO129,479-2,426$4,786
Sitime Corporation 38,514 -794 $4,702
     SITM38,514-794$4,702
Progyny Inc 120,089 -2,748 $4,465
     PGNY120,089-2,748$4,465
Inmode Ltd 199,848 +199,848 $4,445
     INMD199,848+199,848$4,445
SI BONE Inc 210,327 -207,514 $4,415
     SIBN210,327-207,514$4,415
TechnipFMC plc 217,173 -81,308 $4,374
     FTI217,173-81,308$4,374
Floor & Decor Holdings Inc 39,126 -28,663 $4,365
     FND39,126-28,663$4,365
Confluent Inc 183,842 -2,003 $4,302
     CFLT183,842-2,003$4,302
Stevanato Group Societa 156,503 +136,503 $4,271
     STVN156,503+136,503$4,271
Silicon Laboratories Inc 32,165 -11,080 $4,254
     SLAB32,165-11,080$4,254
Boot Barn Holdings Inc 55,117 +55,117 $4,231
     BOOT55,117+55,117$4,231
FTI Consulting Inc 21,066 -39,987 $4,195
     FCN21,066-39,987$4,195
Crinetics Pharmaceuticals Inc 116,603 +116,603 $4,149
     CRNX116,603+116,603$4,149
Intra Cellular Therapies Inc 55,050 -94,079 $3,943
     ITCI55,050-94,079$3,943
WillScot Mobile Mini Holdings 86,500 -85,861 $3,849
     WSC86,500-85,861$3,849
SiteOne Landscape Supply Inc 23,540 -10,311 $3,825
     SITE23,540-10,311$3,825
Day One Biopharmaceuticals 258,685 +258,685 $3,777
     DAWN258,685+258,685$3,777
Denali Therapeutics Inc 174,219 +49,139 $3,739
     DNLI174,219+49,139$3,739
Roivant Sciences Ltd 331,267 -3,736 $3,720
     ROIV331,267-3,736$3,720
Adaptive Biotechnologies 711,107 -7,960 $3,484
     ADPT711,107-7,960$3,484
Sweetgreen Inc 254,190 +254,190 $2,872
     SG254,190+254,190$2,872
Fusion Pharmaceuticals Inc 277,111 +277,111 $2,663
     FUSN277,111+277,111$2,663
Prothena Corporation plc 56,829 -627 $2,065
     PRTA56,829-627$2,065
Maravai LifeSciences Holdings Inc. 286,849 -3,714 $1,879
     MRVI286,849-3,714$1,879
Structure Therapeutics Inc 35,653 +35,653 $1,453
     GPCR35,653+35,653$1,453
MSCI Inc 2,188 +1,043 $1,238
     MSCI2,188+1,043$1,238
Tradeweb Markets Inc 9,998 +486 $909
     TW9,998+486$909
Dexcom Inc 6,400 +1,728 $794
     DXCM6,400+1,728$794
Monolithic Power Systems Inc 1,195 +525 $754
     MPWR1,195+525$754
Dynatrace Inc 13,026 +12,623 $712
     DT13,026+12,623$712
Cheniere Energy Inc 3,875 +216 $662
     LNG3,875+216$662
Trade Desk Inc The 8,874 +494 $639
     TTD8,874+494$639
Axon Enterprise Inc 2,385 +116 $616
     AXON2,385+116$616
MongoDB Inc 1,422 +66 $581
     MDB1,422+66$581
Pinterest Inc 15,161 +14,852 $562
     PINS15,161+14,852$562
West Pharmaceutical Services I 1,567 +528 $552
     WST1,567+528$552
Veeva Systems Inc 2,119 +71 $408
     VEEV2,119+71$408
IDEX Corporation 45 +45 $10
     IEX45+45$10
Entegris Inc 72 UNCH $9
     ENTG72UNCH$9
ICON PLC 33 +33 $9
     ICLR33+33$9
Trane Technologies Public Limited Technologies 36 UNCH $9
     TT36UNCH$9
Elastic NV 75 +75 $8
     ESTC75+75$8
Vertiv Holdings Co 159 +159 $8
     VRT159+159$8
IDEXX Laboratories Inc 12 +3 $7
     IDXX12+3$7
IQVIA Holdings Inc 30 +12 $7
     IQV30+12$7
Skechers USA Inc 105 +105 $7
     SKX105+105$7
Ulta Beauty Inc 15 +15 $7
     ULTA15+15$7
Deckers Outdoor Corp 9 -9 $6
     DECK9-9$6
Aehr Test Systems $0 (exited)
     AEHR0-95,733$0
Amedisys Inc $0 (exited)
     AMED0-97,083$0
Air Transport Services Group Inc $0 (exited)
     ATSG0-283$0
Bloom Energy Corp $0 (exited)
     BE0-240,339$0
Biolife Solutions Inc $0 (exited)
     BLFS0-172,156$0
Crowdstrike Holdings Inc $0 (exited)
     CRWD0-4,770$0
Sprinklr Inc $0 (exited)
     CXM0-558,666$0
Krispy Kreme Inc $0 (exited)
     DNUT0-279,035$0
Doximity Inc $0 (exited)
     DOCS0-207$0
Duolingo Inc $0 (exited)
     DUOL0-28,564$0
Fox Factory Holding Corp $0 (exited)
     FOXF0-42,075$0
HealthEquity Inc $0 (exited)
     HQY0-53,832$0
Jamf Holding Corp $0 (exited)
     JAMF0-439$0
MasTec Inc $0 (exited)
     MTZ0-86$0
Point Biopharma Global Inc $0 (exited)
     PNT0-732,936$0
Insulet Corp $0 (exited)
     PODD0-1,810$0
Papa John s International Inc $0 (exited)
     PZZA0-99,042$0
Roku Inc $0 (exited)
     ROKU0-41,860$0
SolarEdge Technologies Inc $0 (exited)
     SEDG0-2,022$0
Shoals Technologies Group Inc Group A $0 (exited)
     SHLS0-370,250$0
Silk Road Medical Inc $0 (exited)
     SILK0-182,209$0
TG Therapeutics Inc 0 -392,709 $0 (exited)
     TGTX0-392,709$0

See Summary: Pier Capital LLC Top Holdings
See Details: Top 10 Stocks Held By Pier Capital LLC

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