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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

EAM Investors, LLC INSTITUTION : EAM Investors, LLC
EAM Investors, LLC Portfolio (reported on 2019-08-14)
Company (links to holding history) Ticker Value On
2019-06-30
No of Shares % of portfolio
Digital Turbine, Inc.    (Common Stock) APPS 5,172,000 1,034,445 1.26%
Napco Security Technologies, Inc.    (Common Stock) NSSC 5,038,000 169,728 1.23%
Veracyte, Inc.    (Common Stock) VCYT 4,413,000 154,781 1.07%
BioDelivery Sciences International, Inc.    (Common Stock) BDSI 3,898,000 838,260 0.95%
AXSOME THERAPEUTIC    (Common Stock) 3,823,000 148,471 0.93%
Zix Corporation    (Common Stock) ZIXI 3,759,000 413,507 0.91%
Tandem Diabetes Care, Inc.    (Common Stock) 3,692,000 57,227 0.90%
ArQule, Inc.    (Common Stock) ARQL 3,682,000 334,433 0.90%
Neogenomics, Inc.    (Common Stock) NGNM 3,621,000 165,058 0.88%
Mirati Therapeutics, Inc.    (Common Stock) MRTX 3,621,000 35,159 0.88%
TELARIA INC    (Common Stock) 3,564,000 473,933 0.87%
Great Lakes Dredge & Dock Corporation    (Common Stock) GLDD 3,519,000 318,716 0.86%
Enphase Energy, Inc.    (Common Stock) ENPH 3,491,000 191,477 0.85%
NMI Holdings, Inc.    (Common Stock) NMIH 3,441,000 121,198 0.84%
Axonics Modulation Technologies, Inc.    (Common Stock) 3,412,000 83,285 0.83%
The Rubicon Project, Inc.    (Common Stock) RUBI 3,345,000 525,944 0.81%
Everi Holdings Inc.    (Common Stock) 3,337,000 279,728 0.81%
Krystal Biotech, Inc.    (Common Stock) 3,280,000 81,447 0.80%
PAYSIGN INC    (Common Stock) 3,264,000 244,160 0.79%
Kinsale Capital Group, Inc.    (Common Stock) KNSL 3,197,000 34,952 0.78%
GOOSEHEAD INS INC    (Common Stock) 3,191,000 66,751 0.78%
Freshpet, Inc.    (Common Stock) FRPT 3,171,000 69,684 0.77%
The Simply Good Foods Company    (Common Stock) 3,152,000 130,900 0.77%
Everbridge, Inc.    (Common Stock) 3,087,000 34,517 0.75%
NanoString Technologies, Inc.    (Common Stock) NSTG 2,985,000 98,342 0.73%
Casella Waste Systems, Inc.    (Common Stock) CWST 2,981,000 75,226 0.72%
LOVESAC COMPANY    (Common Stock) 2,926,000 94,171 0.71%
Rent-A-Center, Inc.    (Common Stock) RCII 2,846,000 106,882 0.69%
Perficient, Inc.    (Common Stock) PRFT 2,829,000 82,425 0.69%
DMC Global Inc    (Common Stock) 2,780,000 43,880 0.67%
NexPoint Residential Trust, Inc.    (Common Stock) 2,773,000 66,985 0.67%
Adverum Biotechnologies, Inc.    (Common Stock) 2,759,000 232,043 0.67%
Reata Pharmaceuticals, Inc.    (Common Stock) 2,730,000 28,933 0.66%
Fluidigm Corporation    (Common Stock) FLDM 2,724,000 221,082 0.66%
Upland Software, Inc.    (Common Stock) UPLD 2,701,000 59,315 0.66%
The Joint Corp    (Common Stock) JYNT 2,699,000 148,304 0.66%
Lattice Semiconductor Corporation    (Common Stock) LSCC 2,607,000 178,713 0.63%
BIOHAVEN PHARMACEU    (Common Stock) 2,600,000 59,383 0.63%
Bandwidth Inc.    (Common Stock) 2,592,000 34,553 0.63%
Cryoport, Inc.    (Common Stock) 2,585,000 141,088 0.63%
eHealth, Inc.    (Common Stock) EHTH 2,563,000 29,771 0.62%
INSPIRE MEDICAL SY    (Common Stock) 2,540,000 41,872 0.62%
RA Pharmaceuticals, Inc.    (Common Stock) 2,514,000 83,611 0.61%
Orthopediatrics Corp.    (Common Stock) 2,512,000 64,414 0.61%
Corindus Vascular Robotics, Inc.    (Common Stock) 2,404,000 806,746 0.58%
PAR Technology Corporation    (Common Stock) PTC 2,398,000 85,028 0.58%
ConforMIS, Inc.    (Common Stock) 2,387,000 547,544 0.58%
Deckers Outdoor Corporation    (Common Stock) DECK 2,294,000 13,036 0.56%
CLARUS CORP NEW    (Common Stock) 2,270,000 157,227 0.55%
EIDOS THERAPEUTICS    (Common Stock) 2,221,000 71,461 0.54%
Woodward, Inc.    (Common Stock) WGOV 2,218,000 19,602 0.54%
Agilysys, Inc.    (Common Stock) AGYS 2,206,000 102,728 0.53%
Workiva Inc.    (Common Stock) WK 2,166,000 37,282 0.52%
Rosetta Stone Inc.    (Common Stock) RST 2,155,000 94,183 0.52%
DHI Group, Inc.    (Common Stock) DHX 2,154,000 603,248 0.52%
Misonix, Inc.    (Common Stock) MSON 2,145,000 84,380 0.52%
Haemonetics Corporation    (Common Stock) HAE 2,118,000 17,596 0.51%
Telenav, Inc.    (Common Stock) TNAV 2,117,000 264,585 0.51%
Avid Technology, Inc.    (Common Stock) AVID 2,116,000 232,061 0.51%
iCAD, Inc.    (Common Stock) ICAD 2,101,000 329,800 0.51%
AVEDRO INC    (Common Stock) 2,096,000 106,706 0.51%
Rapid7, Inc.    (Common Stock) 2,093,000 36,188 0.51%
Masimo Corporation    (Common Stock) MASI 2,057,000 13,822 0.50%
Repligen Corporation    (Common Stock) RGEN 2,052,000 23,871 0.50%
Euronet Worldwide, Inc.    (Common Stock) EEFT 2,032,000 12,076 0.49%
Coupa Software Incorporated    (Common Stock) 2,031,000 16,044 0.49%
Avalara, Inc.    (Common Stock) 2,015,000 27,910 0.49%
Zynga Inc.    (Common Stock) ZNGA 1,981,000 323,234 0.48%
Wingstop Inc.    (Common Stock) 1,977,000 20,865 0.48%
Alphatec Holdings, Inc.    (Common Stock) 1,942,000 427,659 0.47%
STRATEGIC ED INC    (Common Stock) 1,937,000 10,884 0.47%
Arrowhead Pharmaceuticals Inc.    (Common Stock) 1,925,000 72,636 0.47%
Generac Holdings Inc.    (Common Stock) GNRC 1,922,000 27,684 0.47%
Caredx, Inc.    (Common Stock) CDNA 1,890,000 52,504 0.46%
IOVANCE    (Common Stock) 1,882,000 76,739 0.46%
Legg Mason, Inc.    (Common Stock) LM 1,881,000 49,141 0.46%
Northwest Pipe Company    (Common Stock) NWPX 1,875,000 72,715 0.45%
PHASEBIO PHARMACEU    (Common Stock) 1,848,000 140,850 0.45%
Century Casinos, Inc.    (Common Stock) CNTY 1,811,000 186,674 0.44%
Kratos Defense & Security Solutions, Inc    (Common Stock) KTOS 1,806,000 78,886 0.44%
Radiant Logistics, Inc.    (Common Stock) RLGT 1,797,000 292,692 0.43%
Churchill Downs Incorporated    (Common Stock) CHDN 1,774,000 15,417 0.43%
Tetra Tech, Inc.    (Common Stock) TTEK 1,770,000 22,534 0.43%
Casey's General Stores, Inc.    (Common Stock) CASY 1,749,000 11,210 0.42%
ACM Research, Inc.    (Common Stock) 1,742,000 111,576 0.42%
ANAPLAN INC    (Common Stock) 1,728,000 34,232 0.42%
Americold Realty Trust    (Common Stock) 1,696,000 52,315 0.41%
Terreno Realty Corporation    (Common Stock) TRNO 1,691,000 34,485 0.41%
Hexcel Corporation    (Common Stock) HXL 1,690,000 20,896 0.41%
YETI HOLDINGS INC    (Common Stock) 1,687,000 58,285 0.41%
Bruker Corporation    (Common Stock) BRKR 1,685,000 33,741 0.41%
DSP Group, Inc.    (Common Stock) DSPG 1,675,000 116,624 0.40%
Bright Horizons Family Solutions Inc.    (Common Stock) BFAM 1,674,000 11,097 0.40%
AAON, Inc.    (Common Stock) AAON 1,673,000 33,342 0.40%
Manhattan Associates, Inc.    (Common Stock) MANH 1,663,000 23,982 0.40%
Mercury Systems, Inc.    (Common Stock) MRCY 1,660,000 23,598 0.40%
Insulet Corporation    (Common Stock) PODD 1,657,000 13,882 0.40%
Zynex, Inc.    (Common Stock) ZYXI 1,657,000 184,301 0.40%
Trinet Group, Inc.    (Common Stock) TNET 1,641,000 24,204 0.40%
Catalent, Inc.    (Common Stock) CTLT 1,636,000 30,177 0.40%
Inseego Corp.    (Common Stock) 1,635,000 341,251 0.39%
Pegasystems Inc.    (Common Stock) PEGA 1,632,000 22,925 0.39%
Armstrong World Industries, Inc.    (Common Stock) AWI 1,628,000 16,749 0.39%
TTEC HLDGS INC    (Common Stock) 1,628,000 34,952 0.39%
HAMILTON LANE INC    (Common Stock) 1,608,000 28,187 0.39%
CSW Industrials, Inc.    (Common Stock) 1,601,000 23,491 0.39%
Novocure Limited    (Common Stock) 1,571,000 24,844 0.38%
FTI Consulting, Inc.    (Common Stock) FCN 1,563,000 18,638 0.38%
ServiceMaster Global Holdings, Inc.    (Common Stock) SERV 1,556,000 29,879 0.38%
Genpact Limited    (Common Stock) G 1,553,000 40,777 0.37%
Caci International Inc.    (Common Stock) CAI 1,553,000 7,592 0.37%
ARCOSA INC    (Common Stock) 1,551,000 41,221 0.37%
Aaron's, Inc.    (Common Stock) RNT/A 1,549,000 25,222 0.37%
James River Group Holdings, Ltd.    (Common Stock) JRVR 1,548,000 33,008 0.37%
Total SA    (Common Stock) SPWR 1,542,000 144,253 0.37%
Frontdoor, Inc.    (Common Stock) 1,541,000 35,375 0.37%
Smartsheet Inc.    (Common Stock) 1,538,000 31,776 0.37%
R1 RCM Inc.    (Common Stock) 1,529,000 121,581 0.37%
Airgain, Inc.    (Common Stock) 1,525,000 107,789 0.37%
Omnicell, Inc.    (Common Stock) OMCL 1,524,000 17,715 0.37%
AGCO Corporation    (Common Stock) AG 1,521,000 19,604 0.37%
HORIZON THERA    (Common Stock) 1,518,000 63,088 0.37%
Meritor, Inc.    (Common Stock) MTOR 1,514,000 62,425 0.37%
Osi Systems, Inc.    (Common Stock) OSIS 1,509,000 13,399 0.36%
Lantheus Holdings, Inc.    (Common Stock) 1,498,000 52,922 0.36%
Lindblad Expeditions Holdings, Inc.    (Common Stock) 1,491,000 83,059 0.36%
Arena Pharmaceuticals, Inc.    (Common Stock) 1,487,000 25,356 0.36%
Q2 Holdings, Inc.    (Common Stock) QTWO 1,481,000 19,396 0.36%
The Wendy's Company    (Common Stock) WEN 1,463,000 74,697 0.35%
Coherus Biosciences, Inc.    (Common Stock) CHRS 1,460,000 66,041 0.35%
Materion Corporation    (Common Stock) MTRN 1,448,000 21,350 0.35%
Sinclair Broadcast Group, Inc.    (Common Stock) SBGI 1,446,000 26,968 0.35%
Marchex, Inc.    (Common Stock) MCHX 1,442,000 306,826 0.35%
Career Education Corporation    (Common Stock) CECO 1,441,000 75,571 0.35%
SONIM TECHNOLOGIES    (Common Stock) 1,441,000 113,188 0.35%
Fate Therapeutics, Inc.    (Common Stock) FATE 1,437,000 70,799 0.35%
Victory Capital Holdings, Inc.    (Common Stock) 1,436,000 83,608 0.35%
Paylocity Holding Corporation    (Common Stock) PCTY 1,435,000 15,291 0.35%
SAFEHOLD INC    (Common Stock) 1,393,000 46,136 0.34%
LHC Group, Inc.    (Common Stock) LHCG 1,393,000 11,650 0.34%
PROS Holdings, Inc.    (Common Stock) PRO 1,387,000 21,920 0.33%
Quanterix Corporation    (Common Stock) 1,369,000 40,527 0.33%
The Ensign Group, Inc.    (Common Stock) ENSG 1,369,000 24,057 0.33%
Universal Display Corporation    (Common Stock) PANL 1,348,000 7,169 0.32%
SVMK INC    (Common Stock) 1,341,000 81,209 0.32%
Zscaler, Inc.    (Common Stock) 1,311,000 17,110 0.32%
Caretrust REIT, Inc.    (Common Stock) CTRE 1,305,000 54,859 0.31%
Community Healthcare Trust Incorporated    (Common Stock) 1,300,000 32,995 0.31%
GUARDANT HEALTH IN    (Common Stock) 1,295,000 14,996 0.31%
Planet Fitness, Inc.    (Common Stock) PLNT 1,281,000 17,690 0.31%
Glaukos Corporation    (Common Stock) 1,280,000 16,972 0.31%
LPL Financial Holdings Inc.    (Common Stock) LPLA 1,271,000 15,585 0.31%
Alteryx, Inc.    (Common Stock) 1,261,000 11,552 0.30%
TRICIDA INC    (Common Stock) 1,260,000 31,934 0.30%
THE TRADE DESK INC    (Common Stock) 1,246,000 5,468 0.30%
Essential Properties Realty Trust, Inc.    (Common Stock) 1,241,000 61,951 0.30%
SPS Commerce, Inc.    (Common Stock) SPSC 1,240,000 12,136 0.30%
Fair Isaac Corporation    (Common Stock) FIC 1,202,000 3,827 0.29%
ViaSat, Inc.    (Common Stock) VSAT 1,188,000 14,704 0.29%
313 Acquisition LLC    (Common Stock) VSLR 1,188,000 162,699 0.29%
MEIRAGTX HOLDINGS    (Common Stock) 1,184,000 44,060 0.28%
Model N, Inc.    (Common Stock) MODN 1,173,000 60,171 0.28%
Federal Signal Corporation    (Common Stock) FSS 1,158,000 43,287 0.28%
Sonic Automotive, Inc.    (Common Stock) SAH 1,149,000 49,224 0.28%
Cardlytics, Inc.    (Common Stock) 1,144,000 44,036 0.27%
Codexis, Inc.    (Common Stock) CDXS 1,142,000 61,941 0.27%
Impinj, Inc.    (Common Stock) 1,137,000 39,738 0.27%
PALOMAR HOLDINGS I    (Common Stock) 1,134,000 47,157 0.27%
Rogers Corporation    (Common Stock) ROG 1,129,000 6,543 0.27%
Booz Allen Hamilton Holding Corporation    (Common Stock) BAH 1,125,000 16,997 0.27%
Franklin Covey Co.    (Common Stock) FC 1,112,000 32,713 0.27%
INPHI Corporation    (Common Stock) IPHI 1,110,000 22,153 0.27%
Double Hull Tankers    (Common Stock) DHT 1,104,000 186,724 0.27%
Monro, Inc.    (Common Stock) MNRO 1,103,000 12,928 0.26%
Mobileiron, Inc.    (Common Stock) MOBL 1,096,000 176,742 0.26%
Denny's Corporation    (Common Stock) DENN 1,090,000 53,090 0.26%
1-800-Flowers.Com, Inc.    (Common Stock) FLWS 1,084,000 57,399 0.26%
SHOCKWAVE MEDICAL    (Common Stock) 1,075,000 18,833 0.26%
Willis Lease Finance Corporation    (Common Stock) WLFC 1,073,000 18,395 0.26%
FUNKO INC    (Common Stock) 1,071,000 44,211 0.26%
HYRECAR INC    (Common Stock) 1,071,000 255,017 0.26%
Kornit Digital Ltd.    (Common Stock) 1,070,000 33,796 0.26%
Viavi Solutions Inc.    (Common Stock) VIAV 1,060,000 79,756 0.25%
Voyager Therapeutics, Inc.    (Common Stock) 1,052,000 38,653 0.25%
MongoDB, Inc.    (Common Stock) 1,050,000 6,904 0.25%
VERRA MOBILITY    (Common Stock) 1,047,000 79,955 0.25%
Nexstar Media Group, Inc.    (Common Stock) NXST 1,045,000 10,348 0.25%
G1 THERAPEUTICS IN    (Common Stock) 1,035,000 33,771 0.25%
Heritage-Crystal Clean, Inc.    (Common Stock) HCCI 1,031,000 39,194 0.25%
Envestnet, Inc.    (Common Stock) ENV 1,016,000 14,860 0.24%
LivePerson, Inc.    (Common Stock) LPSN 1,014,000 36,177 0.24%
RingCentral, Inc.    (Common Stock) RNG 1,010,000 8,785 0.24%
Helen of Troy Ltd    (Common Stock) HELE 1,007,000 7,713 0.24%
Orion Energy Systems, Inc.    (Common Stock) OESX 974,000 327,813 0.23%
ETSY, Inc.    (Common Stock) ETSY 961,000 15,652 0.23%
Adesto Technologies Corporation    (Common Stock) 958,000 117,586 0.23%
Globalscape, Inc.    (Common Stock) GSB 956,000 93,572 0.23%
Clean Energy Fuels Corp.    (Common Stock) CLNE 941,000 352,581 0.23%
America's Car Mart, Inc.    (Common Stock) CRMT 930,000 10,803 0.22%
Chegg, Inc.    (Common Stock) CHGG 924,000 23,943 0.22%
1 2 Next >Full Portfolio View
Total Value As 2019-06-30: 408,878,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
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George Soros

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