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STOCK TICKER:

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

GRANAHAN INVESTMENT MANAGEMENT INC/MA INSTITUTION : GRANAHAN INVESTMENT MANAGEMENT INC/MA
GRANAHAN INVESTMENT MANAGEMENT INC/MA Portfolio (reported on 2019-11-15)
Company (links to holding history) Ticker Value On
2019-09-30
No of Shares % of portfolio
LIVEPERSON    (COM) LPSN 86,562,000 2,424,695 4.76%
COSTAR CORP    (COM) CSGP 84,371,000 142,230 4.64%
ETSY INC    (COM) ETSY 75,453,000 1,335,450 4.15%
PAYLOCITY HOLDINGS CORP    (COM) PCTY 67,182,000 688,481 3.69%
PAYCOM SOFTWARE    (COM) PAYC 47,998,000 229,118 2.64%
AXON ENTERPRISE    (COM) 43,550,000 766,991 2.39%
KORNIT DIGITAL    (COM) 42,284,000 1,373,757 2.32%
VIRTUSA CORP    (COM) VRTU 41,985,000 1,165,610 2.31%
SPS COMMERCE    (COM) SPSC 40,995,000 870,931 2.25%
COUPA SOFTWARE INC    (COM) 39,797,000 307,144 2.18%
BROOKS AUTOMATION    (COM) BRKS 38,821,000 1,048,362 2.13%
OSI SYSTEMS    (COM) OSIS 38,725,000 381,297 2.13%
ONESPAWORLD HOLDINGS LTD    (COM) 38,033,000 2,448,973 2.09%
HEALTHEQUITY    (COM) HQY 34,445,000 602,767 1.89%
EHEALTH INC    (COM) EHTH 30,115,000 450,884 1.65%
ENPHASE ENERGY    (COM) ENPH 29,011,000 1,305,022 1.59%
TELADOC    (COM) 28,670,000 423,355 1.57%
CORNERSTONE ONDEMAND    (COM) CSOD 28,451,000 518,983 1.56%
CHEGG INC    (COM) CHGG 27,220,000 908,849 1.49%
MEDICINES CO    (COM) MDCO 22,108,000 442,161 1.21%
GLOBANT SA    (COM) GLOB 21,848,000 238,564 1.20%
RBC BEARINGS    (COM) ROLL 21,686,000 130,710 1.19%
CONMED CORP    (COM) CNMD 19,384,000 201,601 1.06%
COLUMBUS MCKINNON CORPORATION    (COM) CMCO 19,132,000 525,162 1.05%
NEOGENOMICS    (COM) NGNM 18,837,000 985,218 1.03%
REPLIGEN    (COM) RGEN 18,612,000 242,688 1.02%
EXACT SCIENCES    (COM) EXAS 18,495,000 204,655 1.01%
STRATEGIC EDUCATION    (COM) 18,408,000 135,470 1.01%
CARBONITE INC    (COM) CARB 18,101,000 1,168,588 0.99%
ENSIGN GROUP    (COM) ENSG 17,727,000 373,748 0.97%
DOUGLAS DYNAMICS    (COM) PLOW 17,654,000 396,102 0.97%
ARGENX SE ADR    (COM) 17,296,000 151,770 0.95%
MIMECAST LIMITED    (COM) 16,395,000 459,622 0.90%
PLURALSIGHT INC CLASS A    (COM) 16,192,000 964,081 0.89%
DMC GLOBAL INC    (COM) 14,362,000 326,568 0.79%
CARDIOVASCULAR SYSTEMS    (COM) CSII 13,625,000 286,727 0.74%
OXFORD IMMUNOTEC GLOBAL PLC    (COM) OXFD 13,507,000 812,227 0.74%
LAWSON PRODUCTS    (COM) LAWS 12,430,000 320,927 0.68%
RUSH ENTERPRISES    (COM) RUSHA 12,415,000 321,798 0.68%
MATERION CORPORATION    (COM) MTRN 12,347,000 201,215 0.67%
LUXFER HOLDINGS PLC    (COM) 12,024,000 771,788 0.66%
TITAN MACHINERY    (COM) TITN 11,833,000 825,142 0.65%
CHART INDUSTRIES    (COM) GTLS 11,451,000 183,628 0.63%
JOHN BEAN TECHNOLOGIES    (COM) JBT 11,349,000 114,139 0.62%
SHOTSPOTTER    (COM) 11,134,000 483,448 0.61%
PROS HOLDING    (COM) PRO 10,872,000 182,421 0.59%
MODINE MANUFACTURING    (COM) MOD 10,788,000 948,789 0.59%
NV5 GLOBAL    (COM) NVEE 10,643,000 155,898 0.58%
AQUAVENTURE HOLDINGS LIMITED    (COM) 10,380,000 534,213 0.57%
GENTHERM    (COM) THRM 10,342,000 251,724 0.56%
UPLAND SOFTWARE    (COM) UPLD 10,153,000 291,239 0.55%
2U INC    (COM) TWOU 9,934,000 610,197 0.54%
ALBANY INT'L    (COM) AIN 9,859,000 109,347 0.54%
LIMELIGHT NETWORKS    (COM) LLNW 9,722,000 3,208,416 0.53%
VICTORY CAPITAL CLASS A    (COM) 9,482,000 616,501 0.52%
CASELLA WASTE SYSTEMS    (COM) CWST 9,218,000 214,674 0.50%
INSMED    (COM) INSM 9,190,000 520,969 0.50%
Q2 HOLDINGS    (COM) QTWO 9,091,000 115,266 0.50%
MARINEMAX INC    (COM) HZO 9,070,000 585,887 0.49%
DYCOM INDUSTRIES    (COM) DY 9,068,000 177,638 0.49%
GRAND CANYON EDUCATION    (COM) LOPE 9,051,000 92,172 0.49%
ENANTA PHARMACEUTICALS    (COM) ENTA 8,928,000 148,604 0.49%
RUDOLPH TECH    (COM) RTEC 8,682,000 329,356 0.47%
HUBSPOT    (COM) HUBS 8,583,000 56,614 0.47%
ACCELERON PHARMA    (COM) XLRN 8,496,000 215,027 0.46%
GENOMIC HEALTH INC    (COM) GHDX 7,859,000 115,880 0.43%
POWER INTEGRATIONS    (COM) POWI 7,852,000 86,825 0.43%
RAPID7    (COM) 7,803,000 171,913 0.42%
ANGIO DYNAMICS    (COM) ANGO 7,666,000 416,200 0.42%
EURONET    (COM) EEFT 7,371,000 50,386 0.40%
IMMUNOMEDICS    (COM) IMMU 7,111,000 536,288 0.39%
RUBICON PROJECT INC    (COM) RUBI 6,980,000 801,366 0.38%
NEWMARK    (COM) 6,835,000 754,468 0.37%
INNOVATIVE INDUSTRIAL PRODUCTS    (COM) 6,586,000 71,305 0.36%
CEVA    (COM) CEVA 5,957,000 199,509 0.32%
VONAGE HOLDINGS    (COM) VG 5,922,000 524,078 0.32%
ESPERION THERAPEUTICS    (COM) ESPR 5,669,000 154,628 0.31%
RumbleOn Inc. Class B RESTRICT    (COM) 5,491,000 1,899,900 0.30%
CRYOPORT    (COM) 5,461,000 333,923 0.30%
HARVARD BIOSCIENCE    (COM) HBIO 5,449,000 1,771,964 0.29%
KINSALE CAPITAL GROUP    (COM) KNSL 5,407,000 52,338 0.29%
WEST PHARMA SVCS    (COM) WST 5,390,000 38,009 0.29%
CLOUDERA, INC    (COM) 5,309,000 599,163 0.29%
INSULET CORP    (COM) PODD 5,308,000 32,185 0.29%
DIGITAL TURBINE INC    (COM) APPS 5,264,000 816,794 0.28%
KINDRED BIOSCIENCES    (COM) KIN 5,085,000 742,274 0.27%
SIENTRA    (COM) SIEN 4,986,000 769,512 0.27%
AERI PHARMACEUTICALS    (COM) AERI 4,862,000 252,942 0.26%
PURE STORAGE INC    (COM) 4,708,000 277,934 0.25%
DROPBOX INC    (COM) 4,693,000 232,664 0.25%
BIOLIFE SOLUTIONS    (COM) BLFS 4,490,000 270,085 0.24%
PERFICIENT    (COM) PRFT 4,460,000 115,607 0.24%
TEXAS CAPITAL BANCSHARES    (COM) TCBI 4,385,000 80,233 0.24%
TWILIO    (COM) 4,342,000 39,487 0.23%
VERICEL CORPORATION    (COM) VCEL 4,251,000 280,774 0.23%
INVACARE    (COM) IVC 4,234,000 564,564 0.23%
ADESTO TECHNOLOGIES    (COM) 4,131,000 482,575 0.22%
JOINT CORP    (COM) JYNT 3,976,000 213,667 0.21%
PROPETRO HOLDING    (COM) 3,937,000 433,119 0.21%
GRAY TELEVISION    (COM) GTN 3,937,000 241,218 0.21%
RADWARE    (COM) RDWR 3,808,000 156,954 0.20%
QTS REALTY TRUST    (COM) QTS 3,791,000 73,747 0.20%
AUTOLUS    (COM) 3,783,000 304,615 0.20%
WNS HOLDINGS LTD    (COM) WNS 3,536,000 60,195 0.19%
GENFIT SA ADR    (COM) 3,477,000 199,695 0.19%
INTERCEPT PHARMACEUTICALS    (COM) ICPT 3,449,000 51,968 0.18%
INPHI    (COM) IPHI 3,423,000 56,063 0.18%
MOBILE MINI    (COM) MINI 3,411,000 92,529 0.18%
DEXCOM INC    (COM) DXCM 3,395,000 22,750 0.18%
CYTOSORBENTS CORPORATION    (COM) CTSO 3,343,000 664,704 0.18%
VERACYTE INC    (COM) VCYT 3,241,000 135,050 0.17%
RING ENERGY    (COM) REI 3,214,000 1,959,701 0.17%
ORTHOPEDIATRICS    (COM) 3,169,000 89,874 0.17%
OKTA INC    (COM) 3,115,000 31,637 0.17%
NUTANIX    (COM) NTNX 3,067,000 116,853 0.16%
GLOBUS MEDICAL INC.    (COM) GMED 3,034,000 59,344 0.16%
QUALYS INC    (COM) QLYS 3,008,000 39,810 0.16%
ENCORE CAP GROUP    (COM) ECPG 2,926,000 87,793 0.16%
TERADYNE    (COM) TER 2,907,000 50,195 0.15%
MACROGENICS    (COM) MGNX 2,862,000 224,256 0.15%
COMPUTER TASK GROUP    (COM) CTGX 2,860,000 571,961 0.15%
FLUIDIGM CORP    (COM) FLDM 2,764,000 596,879 0.15%
CYBERARK SOFTWARE    (COM) CYBR 2,736,000 27,413 0.15%
TECHTARGET INC    (COM) TTGT 2,689,000 119,362 0.14%
BGC PARTNERS INC    (COM) BGCP 2,499,000 454,432 0.13%
LIQUIDITY SERVICES    (COM) LQDT 2,438,000 329,423 0.13%
SILICON LABORATORIES INC    (COM) SLAB 2,353,000 21,136 0.12%
PROFIRE ENERGY    (COM) PFIE 2,350,000 1,243,345 0.12%
BRIGHT HORIZONS    (COM) BFAM 2,343,000 15,362 0.12%
CLOUDFLARE INC CLASS A    (COM) 2,321,000 124,988 0.12%
PROTO LABS    (COM) PRLB 2,308,000 22,608 0.12%
MONOLITHIC POWER    (COM) MPWR 2,256,000 14,498 0.12%
PTC INC    (COM) PMTC 2,221,000 32,579 0.12%
EVOLENT HEALTH    (COM) 2,204,000 306,525 0.12%
FENNEC PHARMACEUTICALS    (COM) 2,193,000 455,979 0.12%
PROOFPOINT    (COM) PFPT 2,175,000 16,852 0.11%
SOTHERLY HOTELS    (COM) SOHO 2,143,000 320,402 0.11%
QUANTERIX CORPORATION    (COM) 2,084,000 94,912 0.11%
LIGAND PHARMACEUTICALS    (COM) LGND 2,046,000 20,556 0.11%
SCORPIO TANKERS    (COM) 1,917,000 64,403 0.10%
AKAMAI    (COM) AKAM 1,893,000 20,720 0.10%
ZSCALER INC    (COM) 1,830,000 38,716 0.10%
MOTOR PARTS OF AMERICA    (COM) MPAA 1,807,000 106,913 0.09%
NEW RELIC    (COM) NEWR 1,773,000 28,849 0.09%
ABIOMED    (COM) ABMD 1,619,000 9,103 0.08%
VAIL RESORTS INC    (COM) MTN 1,617,000 7,107 0.08%
SPERO THERAPEUTICS    (COM) 1,564,000 147,543 0.08%
MERIT MEDICAL SYSTEMS    (COM) MMSI 1,495,000 49,075 0.08%
CLARUS CORPORATION    (COM) 1,490,000 127,092 0.08%
CRISPR THERAPEUTICS    (COM) 1,418,000 34,582 0.07%
ITERUM THERAPEUTICS    (COM) 1,398,000 242,226 0.07%
EDITAS MEDICINE    (COM) 1,251,000 55,017 0.06%
MiX TELEMATICS LIMITED SPONS    (COM) MIXT 1,160,000 83,186 0.06%
CYTOMX THERAPEUTICS    (COM) 1,132,000 153,397 0.06%
II-VI    (COM) IIVI 962,000 27,312 0.05%
XENON PHARMACEUTICALS    (COM) XENE 959,000 106,459 0.05%
CIDARA THERAPEUTICS    (COM) 926,000 464,164 0.05%
SANGAMO BIOSCIENCES    (COM) SGMO 920,000 101,619 0.05%
MATCH GROUP    (COM) 918,000 12,850 0.05%
MELINTA THERAPEUTICS    (COM) 917,000 240,771 0.05%
ENTASIS THERAPEUTICS HOLDINGS    (COM) 840,000 141,012 0.04%
INTELLIA THERAPEUTICS    (COM) 797,000 59,691 0.04%
GTT COMMUNICATION    (COM) GTT 769,000 81,627 0.04%
PARATEK PHARMACEUTICALS    (COM) PRTK 768,000 177,873 0.04%
TRITON INTL LTD/BERMUDA    (COM) TRTN 767,000 22,680 0.04%
AKOUSTIS TECHNOLOGIES    (COM) 766,000 98,887 0.04%
CAI INTERNATIONAL INC    (COM) CAP 693,000 31,849 0.03%
SHARPSPRING    (COM) 576,000 59,338 0.03%
T2 BIOSYSTEMS    (COM) TTOO 544,000 217,774 0.02%
RUMBLE ON INC CLASS B    (COM) 506,000 174,961 0.02%
NABRIVA THERAPEUTICS PLC    (COM) 472,000 235,875 0.02%
COLLEGIUM PHARMACEUTICAL    (COM) 467,000 40,706 0.02%
LIVE NATION INC    (COM) LYV 448,000 6,748 0.02%
TRANSACT TECHNOLOGIES INC    (COM) TACT 437,000 35,964 0.02%
JOUNCE THERAPEUTICS    (COM) 409,000 122,912 0.02%
NEURONETICS    (COM) 372,000 44,729 0.02%
REALPAGE    (COM) RP 309,000 4,914 0.01%
IONIS PHARMACEUTICALS    (COM) 214,000 3,576 0.01%
RINGCENTRAL    (COM) RNG 204,000 1,627 0.01%
ANGI HOME SERVICES    (COM) 173,000 24,456 0.00%
HUDSON TECHNOLOGIES    (COM) HDSN 167,000 235,172 0.00%
Total Value As 2019-09-30: 1,817,345,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

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