Fund HoldingsEMERALD MUTUAL FUND ADVISERS TRUST

Total Portfolio Value
$2.85B
Total Bought
$1.00B
Total Sold
$481.04M
Net Transaction
+$521.18M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
CARDINAL INFRASTRUCTURE GROUP359,063549,297+190,23414,23951,7441.82%+37,505
AXCELIS TECHNOLOGIES INC47,412219,443+172,0314,41341,5731.46%+37,160
LEGENCE CORP(LGN)0425,628+425,628036,2761.27%+36,276
CORCEPT THERAPEUTICS INC(CORT)179,607464,902+285,2957,24040,4231.42%+33,183
TRAVERE THERAPEUTICS INC(TVTX)01,032,024+1,032,024058,6292.06%+58,629
SENSIENT TECHNOLOGIES CORP(SXT)0235,343+235,343029,0151.02%+29,015
TEREX CORP NEW(TEX)0356,029+356,029025,7730.91%+25,773
COHU INC(COHU)489,850533,619+43,76914,99939,4401.39%+24,441
HERC HOLDINGS INC(HRI)0168,972+168,972024,2200.85%+24,220
CECO ENVIRONMENTAL CORP(CECO)314,005471,220+157,21518,70842,7591.50%+24,050
KULICKE AND SOFFA INDUSTRIES(KLIC)349,295349,295022,95646,7221.64%+23,766
INTERDIGITAL INC PA COM(IDCC)60,676148,255+87,57918,32441,9751.48%+23,651
MAXLINEAR INC CLASS A(MXL)0182,695+182,695023,3900.82%+23,390
MERCURY SYSTEMS INC(MRCY)375,472412,354+36,88227,37650,4431.77%+23,068
PDF SOLUTIONS INC(PDFS)594,610566,429-28,18119,45040,0981.41%+20,648
RBB FD INC
F M EME LIFE ETF
01,997,035+1,997,035090,2733.17%+90,273
PLEXUS CORP(PLXS)102,278134,746+32,46820,71540,5141.42%+19,799
SEMTECH CORP(SMTC)285,037257,359-27,67821,91641,6541.46%+19,737
ALLEGIANT TRAVEL CO(ALGT)0313,661+313,661036,8871.30%+36,887
VERADERMICS INC(MANE)109,283209,924+100,6416,90125,8080.91%+18,907
MATERION CORP(MTRN)061,247+61,247018,2140.64%+18,214
FIRST ADVANTAGE CORP(FA)01,425,858+1,425,858025,7370.90%+25,737
AAR CORPORATION280,257337,416+57,15930,67748,2271.69%+17,550
NPK INTERNATIONAL INC(NPKI)01,074,368+1,074,368017,0930.60%+17,093
RXO INC(RXO)275,932761,015+485,0834,03420,9960.74%+16,962
DIODES INCORPORATED(DIOD)114,097221,380+107,2837,78824,2280.85%+16,440
LIFETIME GROUP HOLDINGS INC(LTH)355,492632,840+277,3489,57725,8450.91%+16,268
COMPASS INC(COMP)02,185,814+2,185,814026,9510.95%+26,951
UMB FINANCIAL CORP(UMBF)0235,696+235,696033,6481.18%+33,648
SPYRE THERAPEUTICS(SYRE)408,113401,271-6,84220,58535,6251.25%+15,040
CYTOKENETICS INC(CYTK)135,464279,769+144,3058,92823,8340.84%+14,905
SOLARIS ENERGY INFRASTRUCTURE INC(SEI)314,782405,313+90,53117,78832,6111.15%+14,823
AGILYSYS INC(AGYS)0277,666+277,666029,0161.02%+29,016
ARGAN INC58,94358,115-82832,10346,4081.63%+14,304
AMBIQ MICRO INC0159,131+159,131014,0510.49%+14,051
BILLIONTOONE INC132,206203,990+71,78410,43624,4750.86%+14,038
HIMS & HERS HEALTH INC(HIMS)0398,842+398,842013,8280.49%+13,828
BOOT BARN HOLDINGS INC0197,079+197,079032,3741.14%+32,374
ESCO TECHNOLOGIES INC(ESE)98,502116,457+17,95527,71640,7651.43%+13,049
DIANTHUS THERAPEUTICS INC(DNTH)0131,018+131,018012,7720.45%+12,772
D-WAVE QUANTUM INC(QBTS)0744,084+744,084017,8510.63%+17,851
HINGE HEALTH INC(HNGE)181,766228,197+46,4317,00918,9400.67%+11,931
VSE CORPORATION(VSEC)195,915209,628+13,71336,12747,9001.68%+11,773
LIVANOVA PLC(LIVN)454,329492,868+38,53928,87740,5291.42%+11,651
ALAMAR BIOSCIENCES INC0422,127+422,127011,4350.40%+11,435
VARONIS SYSTEMS INC(VRNS)0555,882+555,882023,3250.82%+23,325
POWER INTEGRATIONS INC(POWI)61,294172,196+110,9023,13814,4230.51%+11,285
MIRUM PHARMACEUTICALS INC(MIRM)250,399289,372+38,97323,13233,8771.19%+10,745
LIGHTPATH TECHNOLOGIES INC0607,882+607,88209,9390.35%+9,939
FRESHPET INC(FRPT)300,932446,119+145,18717,74326,3750.93%+8,632
RUSH STREET INTERACTIVE INC(RSI)981,9011,007,943+26,04221,35629,9761.05%+8,620
TETRA TECHNOLOGIES(TTI)01,970,377+1,970,377022,3240.78%+22,324
BJ'S RESTAURANT INC(BJRI)0322,573+322,573019,5910.69%+19,591
COMMVAULT SYSTEMS INC(CVLT)0126,126+126,126017,8760.63%+17,876
HAPPEN INC(HAPN)0871,131+871,131018,0670.63%+18,067
ASTRONICS CORP279,159327,295+48,13618,62826,5960.93%+7,968
BOBS DISCOUNT FURNITURE(BOBS)764,7451,049,648+284,9038,98616,6050.58%+7,620
TREVI THERAPEUTICS(TRVI)01,210,965+1,210,965022,5840.79%+22,584
AMERICAN SEMICONDUCTOR CORP438,875538,955+100,08014,85622,3720.79%+7,516
SYNAPTICS INC(SYNA)0177,551+177,551022,0570.78%+22,057
ONTO INNOVATION INC(ONTO)70,93057,893-13,03714,54621,9100.77%+7,364
WHITEHAWK MINERALS CORP0263,810+263,81007,3390.26%+7,339
VIRIDIAN THERAPEUTICS INC(VRDN)0395,546+395,54607,2660.26%+7,266
AEVEX CORP0341,108+341,10807,1260.25%+7,126
AXOS FINANCIAL INC(AX)0366,712+366,712035,7141.26%+35,714
DAVE INC(DAVE)019,894+19,89407,4120.26%+7,412
NLIGHT INC(LASR)429,772448,422+18,65024,50631,2191.10%+6,714
PALVELLA THERAPEUTICS INC(PVLA)105,820129,847+24,02713,19019,8430.70%+6,653
ARHAUS INC(ARHS)01,576,486+1,576,486013,2740.47%+13,274
DEFINIUM THERAPEUTICS INC(DFTX)0121,249+121,24905,7040.20%+5,704
AMBARELLA INC(AMBA)065,731+65,73105,6400.20%+5,640
FIRST CAROLINA FINANCIAL SERVICES0414,090+414,09005,4830.19%+5,483
AXSOME THERAPEUTICS INC(AXSM)067,195+67,195016,4470.58%+16,447
EXCELERATE ENERGY INC(EE)189,165299,991+110,8266,32211,3970.40%+5,075
ASTRONICS CORPORATION - CL B065,459+65,45904,9750.17%+4,975
FIRST WATCH RESTAURANT GROUP0823,954+823,954010,6210.37%+10,621
SEACOAST BANKING CORPORATION OF FLORIDA(SBCF)326,516433,797+107,2819,89014,4240.51%+4,534
IMPINJ INC(PI)0111,287+111,287015,9400.56%+15,940
OLLIE'S BARGAIN OUTLET HOLDINGS(OLLI)0290,675+290,675022,3470.79%+22,347
HAWKEYE 360 INC0205,363+205,36304,1520.15%+4,152
ONESPAWORLD HOLDINGS LIMITED
COM
600,025600,025013,77116,9450.60%+3,174
EVERQUOTE INC(EVER)0397,268+397,26809,4510.33%+9,451
THE BANCORP INC(TBBK)0328,845+328,845020,5990.72%+20,599
MOELIS & CO(MC)0342,465+342,465022,4040.79%+22,404
IPG PHOTONICS CORP(IPGP)192,457210,791+18,33422,05424,7300.87%+2,676
EROCK INC0182,249+182,24902,6430.09%+2,643
CUSTOMERS BANCORP INC(CUBB)242,313240,511-1,80216,81919,0240.67%+2,205
AVEANNA HEALTHCARE HOLDINGS(AVAH)0967,108+967,10808,2880.29%+8,288
VISTEON CORP(VC)075,500+75,50007,4900.26%+7,490
TRINITY CAPITAL INC(TRIN)549,260549,26008,0809,8260.35%+1,747
SAVARA INC(SVRA)02,375,999+2,375,999014,6360.51%+14,636
WESBANCO INC(WSBC)90,898120,647+29,7493,1354,7090.17%+1,574
RADNET INC(RDNT)0250,764+250,764015,4650.54%+15,465
PALOMAR HOLDINGS INC(PLMR)0163,622+163,622020,6800.73%+20,680
CORVUS PHARMACEUTICALS INC(CRVS)459,253526,389+67,1366,7197,8640.28%+1,145
SEZZLE INC(SEZL)06,378+6,37801,0950.04%+1,095
AMAZON.COM, INC(AMZN)04,504+4,50401,0730.04%+1,073
TWIST BIOSCIENCE CORP(TWST)17,85018,050+2008481,8570.07%+1,009
IMAX CORP525,986525,986019,99320,9660.74%+973
FORBRIGHT INC050,000+50,00009150.03%+915
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