EAM Investors, LLC at 2023-03-31

Filling information for EAM Investors, LLC as Treemap, investor disclosed 244 total holdings based on 2023-03-31 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
04546L106 04546L106 Huatai Securities Co Ltd Common Stock 1236583 39319
447462102 447462102 Huron Consulting Group Inc Common Stock 2220382 27627
64082B102 64082B102 NerdWallet Inc Common Stock 2259149 139626
03957W106 03957W106 Archrock Inc Common Stock 2273274 232679
64081V109 64081V109 Nerdy Inc Common Stock 1076998 257655
983134107 983134107 Wynn Resorts Ltd Common Stock 1857930 16602
64829B100 64829B100 New Relic Inc Common Stock 1497895 19895
282559103 282559103 89bio Inc Common Stock 4362177 286420
000360206 000360206 AAON Inc Common Stock 2068006 21388
000899104 000899104 ADMA Biologics Inc Common Stock 3428339 1035752
82835W108 82835W108 ARS Pharmaceuticals Inc Common Stock 408815 62798
01741R102 01741R102 ATI Inc Common Stock 2040082 51700
00402L107 00402L107 Academy Sports & Outdoors Inc Common Stock 2109924 32336
004397105 004397105 Accuray Inc Common Stock 1602434 539540
84612U107 84612U107 Advent International Corp Common Stock 1142180 68476
00760J108 00760J108 Aehr Test Systems Common Stock 2859579 92185
00847J105 00847J105 Agilysys Inc Common Stock 4342914 52635
222070203 222070203 Agnaten SE Common Stock 1962439 162723
00973Y108 00973Y108 Akero Therapeutics Inc Common Stock 1709725 44687
011311107 011311107 Alamo Group Inc Common Stock 2887445 15679
01438T106 01438T106 Aldeyra Therapeutics Inc Common Stock 2099083 211388
02081G201 02081G201 Alphatec Holdings Inc Common Stock 1882998 120705
021369103 021369103 Altair Engineering Inc Common Stock 2111164 29277
03820C105 03820C105 Applied Industrial Technologies Inc Common Stock 2412088 16971
03940C100 03940C100 Arcellx Inc Common Stock 3213514 104301
039697107 039697107 Ardelyx Inc Common Stock 3285475 685903
Y0207T100 Y0207T100 Ardmore Shipping Corp Common Stock 1962781 131996
04206A101 04206A101 Arlo Technologies Inc Common Stock 1538295 253844
043436104 043436104 Asbury Automotive Group Inc Common Stock 1420020 6762
04546C205 04546C205 Assertio Holdings Inc Common Stock 4669739 733083
04635X102 04635X102 Astria Therapeutics Inc Common Stock 959316 72129
046433108 046433108 Astronics Corp Common Stock 2089598 156407
04649U102 04649U102 Asure Software Inc Common Stock 2023490 139551
047649108 047649108 Atkore Inc Common Stock 2415132 17192
750491102 750491102 RadNet Inc Common Stock 2041171 81549
05156V102 05156V102 Aurinia Pharmaceuticals Inc Common Stock 903685 82453
05329W102 05329W102 AutoNation Inc Common Stock 1403793 10448
05366Y201 05366Y201 Aviat Networks Inc Common Stock 1880138 54560
05380C102 05380C102 Avita Medical Inc Common Stock 3562685 255024
054540208 054540208 Axcelis Technologies Inc Common Stock 3889568 29190
02128L106 02128L106 B Riley Financial Inc Common Stock 1615464 101922
05541T101 05541T101 BGC Partners Inc Common Stock 2795466 534506
056525108 056525108 Badger Meter Inc Common Stock 2079833 17073
073685109 073685109 Beacon Roofing Supply Inc Common Stock 1524509 25905
077347300 077347300 Bel Fuse Inc Common Stock 1913160 50909
077454106 077454106 Belden Inc Common Stock 1840739 21214
07831C103 07831C103 BellRing Brands Inc Common Stock 1915560 56340
09077A106 09077A106 Biomea Fusion Inc Common Stock 2430905 78391
099406100 099406100 Boot Barn Holdings Inc Common Stock 2522146 32909
G1466R173 G1466R173 Borr Drilling Ltd Common Stock 2862011 377574
10258P102 10258P102 Bowlero Corp Common Stock 1247300 73587
103002101 103002101 Bowman Consulting Group Ltd Common Stock 2111563 73548
10806X102 10806X102 Bridgebio Pharma Inc Common Stock 2559803 154391
11161T207 11161T207 Broadwind Inc Common Stock 1202703 313204
120076104 120076104 Build-A-Bear Workshop Inc Common Stock 1990901 85667
12468P104 12468P104 C3.ai Inc Common Stock 2877654 85721
124805102 124805102 CBIZ Inc Common Stock 2253379 45532
125141101 125141101 CECO Environmental Corp Common Stock 4785391 342058
12634H200 12634H200 CPI Card Group Inc Common Stock 2811595 62466
126601103 126601103 CVD Equipment Corp Common Stock 1166862 87734
144285103 144285103 Carpenter Technology Corp Common Stock 2483643 55488
14575E105 14575E105 Cars.com Inc Common Stock 2582630 133815
149568107 149568107 Cavco Industries Inc Common Stock 1192796 3754
15117B202 15117B202 Celldex Therapeutics Inc Common Stock 1662852 46216
171604101 171604101 Chuy's Holdings Inc Common Stock 1273141 35513
172755100 172755100 Cirrus Logic Inc Common Stock 1752924 16026
17888H103 17888H103 Civitas Resources Inc Common Stock 1507444 22058
184496107 184496107 Clean Harbors Inc Common Stock 1271778 8921
946760105 946760105 Climb Global Solutions Inc Common Stock 1869680 35085
19459J104 19459J104 Collegium Pharmaceutical Inc Common Stock 1942926 80989
199908104 199908104 Comfort Systems USA Inc Common Stock 2137146 14642
202608105 202608105 Commercial Vehicle Group Inc Common Stock 1067815 146276
206704108 206704108 Concrete Pumping Holdings Inc Common Stock 1277135 187814
218683100 218683100 Core Molding Technologies Inc Common Stock 1527081 84885
224441105 224441105 Crane Holdings Co Common Stock 1084833 9558
224633206 224633206 Crawford & Co Common Stock 1369644 163833
227046109 227046109 Crocs Inc Common Stock 2614273 20676
23257D103 23257D103 Cymabay Therapeutics Inc Common Stock 2760700 316594
Y2065G121 Y2065G121 DHT Holdings Inc Common Stock 2477014 229141
234264109 234264109 Daktronics Inc Common Stock 1628566 287225
243537107 243537107 Deckers Outdoor Corp Common Stock 1882266 4187
670703107 670703107 Deerfield Management Co LP Common Stock 724102 27754
25271C201 25271C201 Diamond Offshore Drilling Inc Common Stock 1060447 88077
253393102 253393102 Dick's Sporting Goods Inc Common Stock 1495804 10542
25461T105 25461T105 Direct Digital Holdings Inc Common Stock 244869 75577
29084Q100 29084Q100 EMCOR Group Inc Common Stock 2564207 15771
292562105 292562105 Encore Wire Corp Common Stock 1032844 5573
29357K103 29357K103 Enova International Inc Common Stock 2037738 45864
N3144W105 N3144W105 Expro Group Holdings NV Common Stock 1778937 96892
30234E104 30234E104 Eyenovia Inc Common Stock 1387029 392926
G3730V105 G3730V105 FTAI Aviation Ltd Common Stock 2787444 99694
302941109 302941109 FTI Consulting Inc Common Stock 1723458 8733
31188V100 31188V100 Fastly Inc Common Stock 2646755 149029
313855108 313855108 Federal Signal Corp Common Stock 3423633 63155
65290E101 65290E101 Flex Ltd Common Stock 929344 25630
344057302 344057302 Flux Power Holdings Inc Common Stock 1192080 245284
344849104 344849104 Foot Locker Inc Common Stock 1249481 31481
368036109 368036109 Gatos Silver Inc Common Stock 1677812 256939
368678108 368678108 Gencor Industries Inc Common Stock 1684644 109606
384556106 384556106 Graham Corp Common Stock 1670224 127693
392709101 392709101 Green Brick Partners Inc Common Stock 2628483 74971
398433102 398433102 Griffon Corp Common Stock 1821465 56903
415858109 415858109 Harrow Health Inc Common Stock 6558203 309934
416906105 416906105 Harvard Bioscience Inc Common Stock 1451293 345546
420877201 420877201 Haynes International Inc Common Stock 1156027 23079
42330P107 42330P107 Helix Energy Solutions Group Inc Common Stock 2970109 383735
433000106 433000106 Hims & Hers Health Inc Common Stock 3063812 308852
449172105 449172105 Hyster-Yale Materials Handling Inc Common Stock 1455641 29177
G4690M101 G4690M101 IBEX Holdings Ltd Common Stock 2125216 87099
46583P102 46583P102 IVERIC bio Inc Common Stock 2191622 90079
452521107 452521107 Immersion Corp Common Stock 2220723 248403
453204109 453204109 Impinj Inc Common Stock 5062079 37353
45765U103 45765U103 Insight Enterprises Inc Common Stock 2009160 14054
45827U109 45827U109 Intapp Inc Common Stock 4265719 95132
45828L108 45828L108 Integral Ad Science Holding Corp Common Stock 2834550 198637
458334109 458334109 Inter Parfums Inc Common Stock 1598493 11238
461148108 461148108 Intevac Inc Common Stock 1297557 177020
46269C102 46269C102 Iridium Communications Inc Common Stock 3003171 48493
46564T107 46564T107 Iteris Inc Common Stock 1343474 286455
800422107 800422107 John B Sanfilippo & Son Inc Common Stock 2639325 27232
496904202 496904202 Kingsway Financial Services Inc Common Stock 1562524 177358
49714P108 49714P108 Kinsale Capital Group Inc Common Stock 1163081 3875
501147102 501147102 Krystal Biotech Inc Common Stock 1979644 24727
50216C108 50216C108 LSI Industries Inc Common Stock 4211958 302366
516544103 516544103 Lantheus Holdings Inc Common Stock 2010501 24352
518415104 518415104 Lattice Semiconductor Corp Common Stock 1857666 19452
53190C102 53190C102 Life Time Group Holdings Inc Common Stock 1170155 73318
53263P105 53263P105 Limbach Holdings Inc Common Stock 3494392 201988
532746104 532746104 Limoneira Co Common Stock 1673830 100470
53814X102 53814X102 LiveOne Inc Common Stock 1059731 929589
55405W104 55405W104 MYR Group Inc Common Stock 1248885 9911
558868105 558868105 Madrigal Pharmaceuticals Inc Common Stock 1503223 6205
56854Q200 56854Q200 Marinus Pharmaceuticals Inc Common Stock 1179217 170901
57637H103 57637H103 MasterCraft Boat Holdings Inc Common Stock 2715391 89234
576690101 576690101 Materion Corp Common Stock 3124460 26935
578605107 578605107 Mayville Engineering Co Inc Common Stock 1617134 108387
580589109 580589109 McGrath RentCorp Common Stock 1187930 12731
600551204 600551204 Miller Industries Inc/TN Common Stock 1920177 54319
60649T107 60649T107 Mistras Group Inc Common Stock 1722656 254079
607828100 607828100 Modine Manufacturing Co Common Stock 3077820 133528
630402105 630402105 Napco Security Technologies Inc Common Stock 2695764 71734
632307104 632307104 Natera Inc Common Stock 1548064 27883
64049M209 64049M209 NeoGenomics Inc Common Stock 2245403 128972
26603R106 26603R106 NewView Capital Management LLC Common Stock 2058429 14436
651718504 651718504 Newpark Resources Inc Common Stock 330064 85731
G65431127 G65431127 Noble Holding Corp PLC Common Stock 1298208 32891
G65773106 G65773106 Nordic American Tankers Ltd Common Stock 2393816 604499
667746101 667746101 Northwest Pipe Co Common Stock 479443 15352
67098H104 67098H104 O-I Glass Inc Common Stock 3416061 150421
68622P109 68622P109 ORIC Pharmaceuticals Inc Common Stock 1085594 190455
675232102 675232102 Oceaneering International Inc Common Stock 2172845 123247
67576A100 67576A100 Ocular Therapeutix Inc Common Stock 1181592 224211
678026105 678026105 Oil States International Inc Common Stock 2657545 319033
68162K106 68162K106 Olympic Steel Inc Common Stock 3271531 62661
68287N100 68287N100 OneSpan Inc Common Stock 1106035 63202
L72967109 L72967109 Orion Engineered Carbons SA Common Stock 1262130 48376
69036R863 69036R863 Overseas Shipholding Group Inc Common Stock 2137177 547994
693282105 693282105 PDF Solutions Inc Common Stock 3519963 83018
69404D108 69404D108 Pacific Biosciences of California Inc Common Stock 993112 85761
69553P100 69553P100 PagerDuty Inc Common Stock 2662573 76117
G6891L105 G6891L105 Pangaea Logistics Solutions Ltd Common Stock 452835 77144
69888T207 69888T207 Par Pacific Holdings Inc Common Stock 4380642 150022
70014A104 70014A104 Park Aerospace Corp Common Stock 1396312 103815
70451A104 70451A104 Paysign Inc Common Stock 1712710 471821
70975L107 70975L107 Penumbra Inc Common Stock 1152383 4135
71377E105 71377E105 Performant Financial Corp Common Stock 1562977 459699
M78673114 M78673114 Perion Network Ltd Common Stock 1264977 31960
714157203 714157203 Perma-Fix Environmental Services Inc Common Stock 1530469 129921
71424F105 71424F105 Permian Resources Corp Common Stock 2022815 192649
729139105 729139105 Pliant Therapeutics Inc Common Stock 1843167 69292
73754Y100 73754Y100 Potbelly Corp Common Stock 1703993 204561
739128106 739128106 Powell Industries Inc Common Stock 3683694 86492
740444104 740444104 Preformed Line Products Co Common Stock 2798826 21859
743312100 743312100 Progress Software Corp Common Stock 1253042 21811
74349U108 74349U108 Prometheus Biosciences Inc Common Stock 3241171 30201
G72800108 G72800108 Prothena Corp PLC Common Stock 1752481 36156
74880P104 74880P104 Quipt Home Medical Corp Common Stock 939754 134059
749607107 749607107 RLI Corp Common Stock 1063812 8004
750917106 750917106 Rambus Inc Common Stock 2008213 39177
75689M101 75689M101 Red Robin Gourmet Burgers Inc Common Stock 4888433 341371
75960P104 75960P104 Remitly Global Inc Common Stock 3403831 200816
G7496G103 G7496G103 RenaissanceRe Holdings Ltd Common Stock 1253728 6258
761330109 761330109 Revance Therapeutics Inc Common Stock 2573740 79905
763165107 763165107 Richardson Electronics Ltd/United States Common Stock 1923627 86184
78349D107 78349D107 RxSight Inc Common Stock 2866942 171879
79957L100 79957L100 Sanara Medtech Inc Common Stock 1566263 37970
01749D105 01749D105 Sanken Electric Co Ltd Common Stock 2033912 42382
801056102 801056102 Sanmina Corp Common Stock 1945154 31893
Y7542C130 Y7542C130 Scorpio Tankers Inc Common Stock 847240 15046
81749D107 81749D107 Sera Prognostics Inc Common Stock 1482949 387193
82452J109 82452J109 Shift4 Payments Inc Common Stock 1900837 25077
825690100 825690100 Shutterstock Inc Common Stock 2861747 39418
827048109 827048109 Silgan Holdings Inc Common Stock 1347332 25104
830830105 830830105 Skyline Champion Corp Common Stock 1781597 23682
83200N103 83200N103 Smartsheet Inc Common Stock 1514639 31687
83425V104 83425V104 Solo Brands Inc Common Stock 3206437 446579
84863T106 84863T106 Spok Holdings Inc Common Stock 1832639 180912
85225A107 85225A107 Squarespace Inc Common Stock 1613567 50789
85256A109 85256A109 Stagwell Inc Common Stock 2276471 306802
859241101 859241101 Sterling Infrastructure Inc Common Stock 3684777 97275
86800U104 86800U104 Super Micro Computer Inc Common Stock 1861961 17475
868168105 868168105 Superior Industries International Inc Common Stock 1206171 243671
88322Q108 88322Q108 TG Therapeutics Inc Common Stock 2106126 140035
877163105 877163105 Taylor Devices Inc Common Stock 770778 38462
Y8564W103 Y8564W103 Teekay Corp Common Stock 2302785 372619
Y8565N300 Y8565N300 Teekay Tankers Ltd Common Stock 1059684 24684
880779103 880779103 Terex Corp Common Stock 1167796 24138
880881107 880881107 Terns Pharmaceuticals Inc Common Stock 1517722 128186
88362T103 88362T103 Thermon Group Holdings Inc Common Stock 2557016 102609
92915B106 92915B106 Third Rock Ventures LLC Common Stock 954637 123818
88556E102 88556E102 ThredUp Inc Common Stock 1300372 513981
88642R109 88642R109 Tidewater Inc Common Stock 2006169 45512
887389104 887389104 Timken Co/The Common Stock 1333017 16312
88822Q103 88822Q103 Tiptree Inc Common Stock 1466733 100668
46620W201 46620W201 TowerBrook Capital Partners LP Common Stock 1286741 49414
89377M109 89377M109 TransMedics Group Inc Common Stock 3653670 48246
902673102 902673102 UFP Technologies Inc Common Stock 6664557 51329
91347P105 91347P105 Universal Display Corp Common Stock 1592099 10263
91359V107 91359V107 Universal Insurance Holdings Inc Common Stock 2978624 163481
92243G108 92243G108 Vaxcyte Inc Common Stock 1868865 49863
92332V107 92332V107 Ventyx Biosciences Inc Common Stock 2168556 64733
92511W108 92511W108 Verrica Pharmaceuticals Inc Common Stock 1358923 209065
16961L106 16961L106 Versant Venture Management LLC Common Stock 1131456 48875
92538J106 92538J106 Vertex Inc Common Stock 2856668 138070
92663R105 92663R105 Viemed Healthcare Inc Common Stock 2395466 248003
92686J106 92686J106 Viking Therapeutics Inc Common Stock 5655322 339659
92790C104 92790C104 Viridian Therapeutics Inc Common Stock 2003731 78763
92835K103 92835K103 Vishay Precision Group Inc Common Stock 1542364 36934
92839U206 92839U206 Visteon Corp Common Stock 1561870 9959
92846Q107 92846Q107 Vita Coco Co Inc/The Common Stock 3120286 159036
929089100 929089100 Voya Financial Inc Common Stock 1498659 20972
95082P105 95082P105 WESCO International Inc Common Stock 1509392 9767
929566107 929566107 Wabash National Corp Common Stock 2255247 91714
G48833118 G48833118 Weatherford International PLC Common Stock 1932021 32553
971378104 971378104 WillScot Mobile Mini Holdings Corp Common Stock 1388726 29623
98422X101 98422X101 Xponential Fitness Inc Common Stock 2926739 96306
98585N106 98585N106 Yext Inc Common Stock 3312279 344670
29076N206 29076N206 eMagin Corp Common Stock 1497642 720020
26856L103 26856L103 elf Beauty Inc Common Stock 2822876 34279
461147100 461147100 inTEST Corp Common Stock 3602434 173695
45569U101 45569U101 indie Semiconductor Inc Common Stock 3363614 318826
G6700G107 G6700G107 nVent Electric PLC Common Stock 1589682 37021
810648105 810648105 scPharmaceuticals Inc Common Stock 1535741 169321
629445206 629445206 NVE Corp Common Stock 1804203 21740

EAM Investors, LLC on Holdings Channel

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