RIVERBRIDGE PARTNERS LLC at 2023-06-30

Filling information for RIVERBRIDGE PARTNERS LLC as Treemap, investor disclosed 192 total holdings based on 2023-06-30 SEC fillings. A list of the exposed holdings

Product name

Product description

Changed holding value / amount

Details
Total Holding Value, based on SEC fillings over time
CUSIP Symbol Name Title Of Class Value in 1000's Amount
98980G102 98980G102 Zscaler, Inc. COM 613875 4196
294429105 294429105 Equifax, Inc. COM 4747413 20176
G0250X107 G0250X107 AMCOR PLC ORD COM 152694 15300
09253X102 09253X102 BlackRock Muni Intermediate Du NCEF 815832 71314
74340E103 74340E103 Progyny, Inc. COM 83073882 2111690
46625H100 46625H100 JPMorgan Chase & Co. COM 927325 6376
G1151C101 G1151C101 Accenture Plc COM 1569129 5085
G54950103 G54950103 Linde Plc COM 5758500 15111
011642105 011642105 Alarm.com Holdings, Inc. COM 102131759 1976234
44891N208 44891N208 IAC, Inc. COM 34849669 554931
67070X101 67070X101 Nuveen Municipal Credit Income NCEF 225843 19369
716817408 716817408 PETVIVO HLDGS INC COM NEW COM 28307 14369
620076307 620076307 Motorola Solutions, Inc. COM 27775196 94705
338307101 338307101 Five9, Inc. COM 67727307 821435
06759L103 06759L103 Barings BDC Inc. BDC 760621 97018
69355M107 69355M107 PIMCO Dynamic Income Opportuni CEF 712514 54557
58506Q109 58506Q109 Medpace Holdings, Inc. COM 156520156 651706
872340104 872340104 TCW Strategic Income Fund CEF 554993 119869
670657105 670657105 Nuveen AMT-Free Quality Munici NCEF 1408593 128874
872540109 872540109 TJX Companies, Inc. COM 3534302 41683
78463M107 78463M107 SPS Commerce, Inc. COM 173336618 902513
023436108 023436108 Amedisys, Inc. COM 142607240 1559572
67066V101 67066V101 Nuveen Quality Municipal Incom NCEF 1111233 98601
233368109 233368109 DWS Municipal Income Trust NCEF 679846 78960
09257R101 09257R101 Blackstone Strategic Credit Fu CEF 657593 60164
09662E109 09662E109 BNY Mellon Strategic Municipal NCEF 538297 94438
92826C839 92826C839 Visa, Inc. COM 48789179 205445
88160R101 88160R101 Tesla Inc. COM 1725064 6590
440452100 440452100 Hormel Foods Corp. COM 200296 4980
256677105 256677105 Dollar General Corporation COM 2996957 17652
L44385109 L44385109 Globant S.A. COM 269346086 1498698
67074C103 67074C103 Nuveen Taxable Municipal Incom CEF 249455 15899
98980F104 98980F104 ZoomInfo Technologies, Inc. COM 41091643 1618418
68752L100 68752L100 OrthoPediatrics Corp. COM 47749558 1088929
739276103 739276103 Power Integrations, Inc. COM 63481900 670560
45168D104 45168D104 IDEXX Laboratories, Inc. COM 61133051 121723
92345Y106 92345Y106 Verisk Analytics, Inc. COM 127550343 564307
377322102 377322102 Glaukos Corporation COM 40473231 568364
12510Q100 12510Q100 CCC Intelligent Solutions Hold COM 56027808 4998020
00287Y109 00287Y109 AbbVie, Inc. COM 274849 2040
71944F106 71944F106 Phreesia, Inc. COM 27858762 898380
902973304 902973304 U.S. Bancorp COM 249584 7554
22160K105 22160K105 Costco Wholesale Corporation COM 461392 857
311900104 311900104 Fastenal Company COM 197025069 3339974
95790B109 95790B109 Western Asset Mortgage Defined CEF 1175311 111088
971378104 971378104 WillScot Mobile Mini Holdings COM 63586487 1330540
81762P102 81762P102 ServiceNow, Inc. COM 70417206 125304
422806109 422806109 HEICO Corporation COM 212004066 1198169
46131J103 46131J103 Invesco Municipal Trust NCEF 501742 53207
464287622 464287622 Ishares Tr Russell 1000 COM 550365 2258
38267D109 38267D109 Goosehead Insurance, Inc. COM 24682722 392475
949746101 949746101 Wells Fargo & Company COM 260348 6100
38173M102 38173M102 Golub Capital BDC, Inc. BDC 416826 30876
85225A107 85225A107 Squarespace, Inc. COM 75014911 2378406
4812C0530 4812C0530 JPMORGAN TR II LRG CAP GROWTH COM 577531 10474
56585A102 56585A102 Marathon Petroleum Corporation COM 217342 1864
759916109 759916109 Repligen Corporation COM 30385037 214796
681116109 681116109 Ollie's Bargain Outlet Holding COM 32318436 557888
594918104 594918104 Microsoft Corporation COM 227884426 669185
464287671 464287671 iShares Core S&P U.S. Growth E COM 1007972 10323
09073M104 09073M104 Bio-Techne Corporation COM 73693891 902780
87612E106 87612E106 Target Corporation COM 215393 1633
74935Q107 74935Q107 RB Global, Inc. COM 243974865 4066248
09239B109 09239B109 BlackLine, Inc. COM 113401210 2107046
29362U104 29362U104 Entegris, Inc. COM 38729610 349482
337738108 337738108 Fiserv, Inc. COM 388542 3080
17275R102 17275R102 Cisco Systems, Inc. COM 1552148 29999
09253N104 09253N104 BlackRock MuniHoldings Fund In NCEF 539865 46420
863667101 863667101 Stryker Corp Com COM 579671 1900
045487105 045487105 ASSOCIATED BANC CORP COM COM 327278 20165
33829M101 33829M101 Five Below, Inc. COM 273787400 1393037
09253R105 09253R105 BlackRock MuniVest Fund, Inc. NCEF 299707 44533
94106L109 94106L109 Waste Mgmt COM 433550 2500
46132C107 46132C107 Invesco Municipal Opportunity NCEF 208707 22062
63845R107 63845R107 National Vision Holdings, Inc. COM 24943083 1026887
316071109 316071109 Fidelity Contra Fund COM 237553 15922
67067Y104 67067Y104 Nuveen Senior Income Fund CEF 495684 108228
742718109 742718109 Procter & Gamble Company COM 3145267 20728
70435P102 70435P102 Paycor HCM, Inc. COM 30942252 1307235
922908710 922908710 Vanguard Index Tr 500 Index Ad COM 6336422 15434
426281101 426281101 Jack Henry & Associates, Inc. COM 31275897 186911
09247F209 09247F209 Blackrock Income Trust CEF 576761 47392
773903109 773903109 Rockwell Automation Com COM 2822728 8568
76883Y107 76883Y107 RiverNorth Flexible Municipal NCEF 852734 59300
88339J105 88339J105 Trade Desk, Inc. COM 260772 3377
931142103 931142103 Walmart, Inc. COM 2188417 13923
91324P102 91324P102 UnitedHealth Group, Inc. COM 82292160 171214
358039105 358039105 Freshpet, Inc. COM 74095486 1125900
70450Y103 70450Y103 PayPal Holdings, Inc. COM 367215 5503
78163D100 78163D100 Runway Growth Finance Corp. BDC 347406 28130
83012A109 83012A109 Sixth Street Specialty Lending BDC 1080319 57802
78409V104 78409V104 S&P Global, Inc. COM 81868859 204218
G5960L103 G5960L103 Medtronic plc COM 356893 4051
580135101 580135101 McDonald's Corporation COM 875833 2935
69346H100 69346H100 PGIM High Yield Bond Fund Inc. CEF 609884 49105
607525102 607525102 Model N, Inc. COM 47986966 1357097
09248X100 09248X100 Blackrock Taxable Municipal Bo CEF 241202 14539
159864107 159864107 Charles River Laboratories Int COM 67528147 321180
40171V100 40171V100 Guidewire Software, Inc. COM 88158257 1158757
191216100 191216100 Coca-Cola Company COM 445869 7404
921926200 921926200 Vanguard Explorer Fund Admiral COM 347333 3565
922908769 922908769 Vanguard Index Fds Stk Mrk Etf COM 391431 1777
24477E103 24477E103 Definitive Healthcare Corp. COM 31865797 2896891
278865100 278865100 Ecolab, Inc. COM 40538110 217141
410123103 410123103 John Hancock Income Securities CEF 195519 18154
95766M105 95766M105 Western Asset Managed Municipa NCEF 280413 28239
023135106 023135106 Amazon.com, Inc. COM 100371099 769953
679295105 679295105 Okta, Inc. COM 528031 7614
002824100 002824100 Abbott Laboratories COM 1714340 15725
70805E109 70805E109 Pennant Group, Inc. COM 16077370 1309232
98138H101 98138H101 Workday, Inc. Class A COM 1383802 6126
032654105 032654105 Analog Devices, Inc. COM 95476212 490099
04010L103 04010L103 Ares Capital Corporation BDC 766143 40774
09255R202 09255R202 BlackRock Debt Strategies Fund CEF 578119 59052
46005L101 46005L101 International Money Express, I COM 25084669 1022612
957664105 957664105 Western Asset Premier Bond Fun CEF 246516 24192
902252105 902252105 Tyler Technologies, Inc. COM 182771355 438858
67421J108 67421J108 Oatly Group AB Sponsored ADR COM 271697 132535
00091G104 00091G104 ACV Auctions, Inc. COM 42268775 2447526
704326107 704326107 Paychex, Inc. COM 2197462 19643
67066G104 67066G104 NVIDIA Corporation COM 122440744 289444
084670702 084670702 Berkshire Hathaway Inc. Class COM 1135530 3330
464287655 464287655 Ishares Tr Russell 2000 COM 429597 2294
723762100 723762100 Pioneer Municipal High Income NCEF 911921 115433
72369J102 72369J102 Pioneer Floating Rate Trust CEF 720188 82971
380237107 380237107 GoDaddy, Inc. Class A COM 49950387 664853
74276R102 74276R102 Privia Health Group, Inc. COM 113422944 4344042
15687V109 15687V109 Certara, Inc. COM 54198085 2976281
30290Y101 30290Y101 FS Credit Opportunities Corp CEF 548264 115424
64110L106 64110L106 Netflix Inc. COM 29976293 68052
452327109 452327109 Illumina, Inc. COM 1221310 6514
254687106 254687106 Walt Disney Company COM 314713 3525
713448108 713448108 PepsiCo, Inc. COM 3811087 20576
23342Q101 23342Q101 DWS Strategic Municipal Income NCEF 507666 59831
98139A105 98139A105 Workiva, Inc. COM 212955241 2094779
339750101 339750101 Floor & Decor Holdings, Inc. COM 157878221 1518644
855244109 855244109 Starbucks Corporation COM 59487421 600519
68389X105 68389X105 Oracle Corporation COM 571632 4800
30303M102 30303M102 Meta Platforms Inc. Class A COM 222123 774
39813G109 39813G109 Grid Dynamics Holdings, Inc. COM 34083350 3684687
88579Y101 88579Y101 3M Company COM 265038 2648
942622200 942622200 Watsco, Inc. COM 56088346 147032
922475108 922475108 Veeva Systems, Inc. COM 86070857 435295
03662Q105 03662Q105 Ansys, Inc. COM 170417814 515995
22160N109 22160N109 CoStar Group, Inc. COM 228494558 2567355
053015103 053015103 Automatic Data Process Com COM 214075 974
38526M106 38526M106 Grand Canyon Education, Inc. COM 197094405 1909644
110122108 110122108 Bristol-Myers Squibb Company COM 254585 3981
249906108 249906108 Descartes Systems Group, Inc. COM 59317959 740456
922908652 922908652 VANGUARD INDEX FDS EXTEND MKT COM 1568402 10538
723763108 723763108 Pioneer Municipal High Income NCEF 920515 107915
90337L108 90337L108 U.S. Physical Therapy, Inc. COM 48606994 400420
30214U102 30214U102 Exponent, Inc. COM 99169159 1062679
884116401 884116401 Third Ave Tr Real Estate Fd COM 221854 11043
037833100 037833100 Apple Inc. COM 16177951 83404
74255X104 74255X104 Principal Real Estate Income F CEF 1257546 132933
636518102 636518102 National Instruments Corporati COM 462319 8054
315911750 315911750 Fidelity 500 Index Fund Inst COM 1388952 8960
235851102 235851102 Danaher Corporation COM 75222543 313427
001744101 001744101 AMN Healthcare Services, Inc. COM 72076091 660521
833034101 833034101 Snap-on, Inc. COM 3015044 10462
771195104 771195104 Roche Holding Ltd. ADR COM 1521048 39818
76883H104 76883H104 RiverNorth Flexible Municipal NCEF 447235 28128
464287200 464287200 Ishares Core S&P 500 Etf COM 970567 2178
M6372Q113 M6372Q113 Kornit Digital Ltd. COM 56271789 1915961
478160104 478160104 Johnson & Johnson COM 2617037 15811
31423P108 31423P108 Federated Premier Municipal In NCEF 453678 42679
67073D102 67073D102 Nuveen Credit Strategies Incom CEF 453737 89849
371901109 371901109 Gentex Corporation COM 327068 11178
46133G107 46133G107 Invesco Quality Municipal Inco NCEF 686150 71773
192422103 192422103 Cognex Corporation COM 102079220 1822192
955306105 955306105 West Pharmaceutical Services, COM 215522901 563503
775711104 775711104 Rollins, Inc. COM 150495959 3513798
02079K107 02079K107 Alphabet, Inc. Class C COM 36523142 301919
79466L302 79466L302 Salesforce, Inc. COM 74669292 353447
438516106 438516106 Honeywell International Inc. COM 415000 2000
25862V105 25862V105 DoubleVerify Holdings, Inc. COM 54961158 1412157
016255101 016255101 Align Technology, Inc. COM 93844886 265368
91834N100 91834N100 Vsblty Groupe Technologies Cor COM 4620 60000
48282T104 48282T104 Kadant, Inc. COM 51599271 232324
46141P404 46141P404 Riverbridge Growth Fund - Inst COM 20796452 737724
70438V106 70438V106 Paylocity Holding Corporation COM 169990351 921207
16359R103 16359R103 Chemed Corporation COM 54854771 101270
640491106 640491106 Neogen Corporation COM 49538780 2277645
025816109 025816109 American Express Company COM 465637 2673
464287648 464287648 Ishares Tr Russell 2000 Growth COM 1161461 4786
29358P101 29358P101 Ensign Group, Inc. COM 136620751 1431183
02079K305 02079K305 Alphabet, Inc. Class A COM 49886287 416761
70432V102 70432V102 Paycom Software, Inc. COM 134995647 420233
421906108 421906108 Healthcare Services Group, Inc COM 28273025 1893706
49714P108 49714P108 Kinsale Capital Group, Inc. COM 95542460 255325
92535C104 92535C104 Vertical Capital Income Fund CEF 1021003 102665

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