Fund Holdings — Stephens Investment Management Group LLC

Total Portfolio Value
$9.33B
Total Bought
$2.46B
Total Sold
$752.57M
Net Transaction
+$1.71B
Filing Period:
Securities
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SharesValue ($K)
Q1 2026
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Q2 2026
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Change
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Q1 2026
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Q2 2026
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Weight (%)
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Change
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CREDO TECHNOLOGY GROUP HOLDI
ORDINARY SHARES
433,668512,263+78,59540,708139,3101.49%+98,602
ASTERA LABS INC(ALAB)269,885254,996-14,88929,579123,1681.32%+93,589
TWIST BIOSCIENCE CORP(TWST)0767,364+767,364078,9460.85%+78,946
FORGENT POWER SOLUTIONS INC(FPS)805,4171,616,102+810,68523,57590,2750.97%+66,701
ICON PUB LTD CO(ICLR)599,176720,261+121,08566,305125,1171.34%+58,812
OKTA INC(OKTA)443,827645,472+201,64534,93488,0750.94%+53,141
TRAVERE THERAPEUTICS INC(TVTX)1,798,4661,875,304+76,83853,432106,5361.14%+53,104
LIGAND PHARMACEUTICALS INC(LGND)494,670475,609-19,06198,761150,3351.61%+51,574
DUTCH BROS INC(BROS)333,057934,504+601,44716,87367,1070.72%+50,234
JFROG LTD(FROG)894,0051,013,628+119,62341,95692,1190.99%+50,163
LATTICE SEMICONDUCTOR CORP(LSCC)878,604858,613-19,99181,499131,3331.41%+49,834
WINGSTOP INC(WING)196,893462,635+265,74230,51380,2260.86%+49,713
AXON ENTERPRISE INC(AXON)103,486165,210+61,72443,94992,6180.99%+48,669
VARONIS SYS INC(VRNS)1,992,7602,158,912+166,15242,78590,5880.97%+47,803
ILLUMINA INC(ILMN)389,354537,926+148,57247,99294,5841.01%+46,592
SITIME CORP(SITM)69,88594,484+24,59924,13570,4430.76%+46,309
HERC HLDGS INC(HRI)0322,420+322,420046,2160.50%+46,216
XOMETRY INC(XMTR)778,720799,180+20,46031,80377,1370.83%+45,334
ONTO INNOVATION INC(ONTO)135,369185,477+50,10827,76070,1940.75%+42,434
EXELIXIS INC(EXEL)2,524,5002,710,011+185,511108,276147,4521.58%+39,176
REPLIGEN CORP(RGEN)755,571937,084+181,51389,021127,8561.37%+38,834
GUARDANT HEALTH INC(GH)0254,310+254,310038,1540.41%+38,154
AMBARELLA INC(AMBA)475,141721,711+246,57024,45861,9230.66%+37,465
VIAVI SOLUTIONS INC(VIAV)0768,676+768,676036,7040.39%+36,704
GENERAC HLDGS INC(GNRC)289,382314,253+24,87156,52592,0160.99%+35,491
VIRTU FINL INC(VIRT)516,366970,734+454,36822,71057,8270.62%+35,117
PROTAGONIST THERAPEUTICS INC0281,832+281,832034,5470.37%+34,547
SILICON MOTION TECHNOLOGY CO(SIMO)099,098+99,098033,0320.35%+33,032
HUNT J B TRANS SVCS INC(JBHT)213,372269,491+56,11945,21477,9990.84%+32,785
COGNEX CORP(CGNX)1,098,4611,175,213+76,75253,81485,1090.91%+31,295
GENIUS SPORTS LIMITED
SHARES CL A
7,598,35910,691,861+3,093,50233,66164,7930.69%+31,132
ROCKWELL AUTOMATION INC(ROK)165,027181,002+15,97559,22589,6100.96%+30,386
HALOZYME THERAPEUTICS INC(HALO)1,218,6681,392,819+174,15178,763109,0161.17%+30,253
AAON INC634,114643,256+9,14252,47381,6030.87%+29,131
RBC BEARINGS INC(RBC)265,038267,280+2,242143,947172,1441.85%+28,197
RUBRIK INC.(RBRK)699,389768,696+69,30734,24961,7110.66%+27,462
EVERPURE INC(P)1,081,7001,151,867+70,16763,86490,7560.97%+26,892
POWER INTEGRATIONS INC(POWI)745,169755,549+10,38038,15363,2850.68%+25,132
LIVE NATION ENTERTAINMENT IN(LYV)552,826595,369+42,54384,311109,0181.17%+24,707
HEICO CORP NEW392,352414,821+22,46982,822106,9861.15%+24,165
TAKE-TWO INTERACTIVE SOFTWAR(TTWO)382,701398,529+15,82875,58399,6241.07%+24,041
SAILPOINT INC(SAIL)2,895,7004,154,901+1,259,20138,33960,8280.65%+22,489
MICROCHIP TECHNOLOGY INC.(MCHP)651,930705,930+54,00042,12164,3810.69%+22,260
MONGODB INC(MDB)141,027165,640+24,61334,51955,6380.60%+21,119
RYAN SPECIALTY HOLDINGS INC(RYAN)2,424,3372,716,484+292,14781,797102,5741.10%+20,777
ZSCALER INC(ZS)0147,062+147,062020,7580.22%+20,758
KARMAN HLDGS INC(KRMN)810,1371,704,717+894,58064,85185,0990.91%+20,248
MEDPACE HLDGS INC(MEDP)162,797185,522+22,72578,17398,2511.05%+20,077
RAMBUS INC DEL(RMBS)407,783409,436+1,65335,08254,3490.58%+19,267
TEXAS ROADHOUSE INC(TXRH)404,000444,559+40,55966,71785,9020.92%+19,186
EVERCORE INC(EVR)259,808282,832+23,02477,55596,5701.04%+19,015
JAMES HARDIE INDS PLC
ORD SHS
2,118,7332,241,488+122,75540,12958,6820.63%+18,553
SAIA INC(SAIA)141,326161,359+20,03349,64567,9580.73%+18,313
MANHATTAN ASSOCIATES INC(MANH)502,678606,425+103,74766,91684,4450.91%+17,528
COHERENT CORP(COHR)97,648103,359+5,71123,26140,7720.44%+17,511
KRATOS DEFENSE & SEC SOLUTIO(KTOS)888,9351,604,024+715,08962,67979,9770.86%+17,298
FORTINET INC(FTNT)71,759145,450+73,6915,86422,3440.24%+16,480
BOOT BARN HLDGS INC431,988485,103+53,11563,22679,6880.85%+16,462
BLOOM ENERGY CORP497,450276,883-220,56767,40083,8120.90%+16,413
IRHYTHM HOLDINGS INC(IRTC)561,530693,437+131,90766,27282,4840.88%+16,213
ROBINHOOD MKTS INC(HOOD)165,412274,500+109,08811,46327,5270.30%+16,064
TERADYNE INC(TER)80,80082,466+1,66623,95439,9000.43%+15,946
ZETA GLOBAL HOLDINGS CORP(ZETA)2,029,6702,426,427+396,75732,31247,7520.51%+15,440
PALO ALTO NETWORKS INC(PANW)53,72767,371+13,6448,61422,9750.25%+14,361
INSULET CORP(PODD)177,707337,747+160,04037,29051,4220.55%+14,132
VIKING HOLDINGS LTD(VIK)953,116802,838-150,27870,03584,0330.90%+13,998
UNITED RENTALS INC(URI)012,283+12,283013,9150.15%+13,915
DEXCOM INC(DXCM)1,074,4651,204,553+130,08867,47681,1270.87%+13,650
VSE CORP(VSEC)273,720280,307+6,58750,47464,0500.69%+13,576
NUTANIX INC(NTNX)749,072808,805+59,73328,47241,2170.44%+12,744
CADENCE DESIGN SYSTEM INC(CDNS)68,78184,755+15,97419,11231,8100.34%+12,698
TWILIO INC(TWLO)056,272+56,272011,6110.12%+11,611
BURLINGTON STORES INC(BURL)309,814353,673+43,859100,807112,0441.20%+11,236
FASTENAL CO(FAST)483,549698,428+214,87922,43733,5450.36%+11,109
DYNATRACE INC(DT)1,101,8601,178,107+76,24740,74751,7310.55%+10,984
SENTINELONE INC(S)2,387,9162,442,034+54,11830,75641,4410.44%+10,685
HUBBELL INC(HUBB)125,287137,758+12,47161,48372,0750.77%+10,592
ARCHROCK INC(AROC)1,259,9251,332,301+72,37643,84554,2380.58%+10,393
KEYSIGHT TECHNOLOGIES INC(KEYS)58,21774,261+16,04416,43925,9970.28%+9,558
TAT TECHNOLOGIES LTD(TATT)190,332358,456+168,1247,73317,2880.19%+9,555
CAMTEK LTD(CAMT)54,718106,612+51,8948,29617,3910.19%+9,095
BIO-TECHNE CORP(TECH)1,104,057944,697-159,36057,69866,7430.72%+9,045
MONOLITHIC PWR SYS INC(MPWR)12,82516,400+3,57514,02222,6710.24%+8,648
HEALTHEQUITY INC(HQY)684,619729,080+44,46157,21465,8510.71%+8,637
CROWDSTRIKE HLDGS INC(CRWD)14,87718,469+3,5925,80814,0940.15%+8,286
LEONARDO DRS INC(DRS)2,118,3312,401,901+283,57094,308102,4891.10%+8,181
SPORTRADAR GROUP AG(SRAD)3,116,2974,015,656+899,35952,16760,1140.64%+7,948
FIRST WATCH RESTAURANT GROUP(FWRG)1,659,7991,953,921+294,12217,39525,1860.27%+7,791
BIOLIFE SOLUTIONS INC(BLFS)673,129708,666+35,53712,84320,0130.21%+7,169
PALOMAR HLDGS INC(PLMR)714,914732,301+17,38785,43292,5560.99%+7,123
TOAST INC(TOST)2,008,8712,170,232+161,36153,25560,3760.65%+7,121
AGILYSYS INC(AGYS)162,811174,363+11,55211,58218,2210.20%+6,639
DATADOG INC(DDOG)024,563+24,56306,3950.07%+6,395
SNOWFLAKE INC(SNOW)025,112+25,11206,3910.07%+6,391
AMERICAN SUPERCONDUCTOR CORP308,515402,762+94,24710,44316,7190.18%+6,275
VISTRA CORP(VST)119,837152,780+32,94318,01524,2350.26%+6,220
MACOM TECH SOLUTIONS HLDGS I(MTSI)515,820316,408-199,412114,548120,3521.29%+5,804
TECHNIPFMC PLC(FTI)1,542,8561,694,154+151,298106,658112,3221.20%+5,665
ROSS STORES INC(ROST)155,535184,454+28,91933,69439,2610.42%+5,567
VISHAY PRECISION GROUP INC(VPG)035,957+35,95705,3900.06%+5,390
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Stephens Investment Management Group LLC — 13F Holdings — Q2 2026 | TickerTrail