Fund HoldingsGrandeur Peak Global Advisors, LLC

Total Portfolio Value
$432.05M
Total Bought
$404.15M
Total Sold
$259.58M
Net Transaction
+$144.58M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
HEALTHEQUITY INC(HQY)36,445211,036+174,5913,04666,31415.35%+63,268
LOVESAC COMPANY14,14041,727+27,58720957,68213.35%+57,473
HOULIHAN LOKEY INC(HLI)39,436184,902+145,4665,66436,5668.46%+30,902
QUANTA SERVICES INC488543,399+542,91126822,6435.24%+22,376
MODINE MANUFACTURING CO(MOD)10,284140,484+130,2002,22923,8275.51%+21,599
JOINT CORP041,857+41,857019,0594.41%+19,059
OLLIE'S BARGAIN OUTLET HOLDING(OLLI)0189,463+189,463014,5663.37%+14,566
BARRETT BUSINESS SERVICES INC032,570+32,570010,8472.51%+10,847
MARVELL TECHNOLOGY INC(MRVL)1,796179,802+178,0061786,6441.54%+6,466
FIGS INC(FIGS)067,897+67,89706,1701.43%+6,170
ATRICURE INC(ATRC)381,902587,399+205,49710,89616,4353.80%+5,540
FORMFACTOR INC(FORM)2,11443,766+41,6522055,6231.30%+5,418
CLEARWATER ANALYTICS HOLDINGS046,026+46,02605,2981.23%+5,298
NEPTUNE INS HLDGS INC(NP)15,173214,926+199,7533675,4141.25%+5,047
KULICKE & SOFFA INDUSTRIES INC(KLIC)060,027+60,02704,8391.12%+4,839
GROCERY OUTLET HOLDING CORP(GO)111,49639,863-71,6337865,3471.24%+4,561
MUELLER WATER PRODUCTS INC(MWA)0175,070+175,07004,5221.05%+4,522
BADGER METER INC3,88929,334+25,4455924,3531.01%+3,760
LIMBACH HOLDINGS INC047,007+47,00703,6200.84%+3,620
DYNATRACE INC(DT)020,924+20,92403,3540.78%+3,354
CAVA GROUP INC(CAVA)067,570+67,57003,2600.75%+3,260
LOAR HOLDINGS INC(LOAR)46,84656,681+9,8352,6845,6201.30%+2,936
RXSIGHT INC465,592167,998-297,5942,8685,7641.33%+2,896
ISHARES RUSSELL 2000 ETF09,286+9,28602,7900.65%+2,790
ARXIS INC059,384+59,38402,7400.63%+2,740
HACKET GROUP INC013,910+13,91002,4160.56%+2,416
IDEXX LABS INC(IDXX)1,83659,025+57,1891,0322,9470.68%+1,915
P10 INC(RPC)06,964+6,96401,5910.37%+1,591
XPEL INC(XPEL)8,11737,822+29,7053591,8760.43%+1,517
NETSKOPE INC(NTSK)089,096+89,09601,4220.33%+1,422
HAEMONETICS CORP MASS(HAE)25,34412,180-13,1641,4282,7990.65%+1,371
MEDPACE HOLDINGS INC(MEDP)0148,256+148,25601,3330.31%+1,333
KURA SUSHI USA INC5,27688,406+83,1303681,5780.37%+1,210
DESCARTES SYS GROUP INC(DSGX)046,068+46,06803,1030.72%+3,103
ABACUS GLOBAL MGMT INC(ABX)156,340205,787+49,4471,2322,2040.51%+972
FIVE BELOW INC(FIVE)2,78026,103+23,3236351,5430.36%+908
CSW INDUSTRIALS INC(CSW)9,90811,793+1,8852,5823,2820.76%+700
PATRIA INVESTMENTS LTD
COM CL A
79,5842,628-76,9561,0031,6930.39%+690
FIRSTSERVICE CORP04,700+4,70006680.15%+668
HARROW INC(HROW)014,353+14,35306100.14%+610
HDFC BANK LTD(HDB)27,1082,229-24,8796741,1730.27%+499
GOOSEHEAD INS INC(GSHD)04,875+4,87504400.10%+440
DOLLAR GEN CORP NEW(DG)31,56059,500+27,9403,7474,1180.95%+371
UFP TECHNOLOGIES INC(UFPT)1,9882,848+8603857550.17%+370
CLOUDFLARE INC(NET)010,207+10,20703640.08%+364
GLOBAL INDUSTRIAL CO22,38613,185-9,2017069890.23%+283
FATPIPE INC UT24,4701,731-22,739602770.06%+217
FRESHPET INC(FRPT)21,85942,089+20,2301,2891,4080.33%+119
FERRARI NV
COM
848961+1132833560.08%+73
REGAL REXNORD CORP(RRX)400404+475960.02%+21
MIAMI INTL HLDGS INC(MIAX)15,77118,512+2,7416145830.13%-31
CODA OCTOPUS GROUP INC62,51968,683+6,1647066710.16%-35
BURLINGTON STORES INC(BURL)944804-1403072550.06%-52
BOWMAN CONSULTING GROUP LTD30,88027,351-3,5298787990.18%-80
CROWDSTRIKE HLDGS INC(CRWD)3050-3051190-119
APPFOLIO INC(APPF)8320-8321310-131
STANDARDAERO INC(SARO)7,0790-7,0791830-183
POWER INTEGRATIONS INC(POWI)000000
ELASTIC NV
ORD SHS
4,1290-4,1292060-206
MAMA'S CREATIONS INC03,631+3,63101,0820.25%+1,082
PERIMETER SOLUTIONS INC(PRM)10,6720-10,6722610-261
TEXAS ROADHOUSE INC(TXRH)1,6320-1,6322700-270
GENTEX CORP(GNTX)48,02929,323-18,7061,0497570.18%-292
KINSALE CAPITAL GROUP INC(KNSL)2,4861,400-1,0868494620.11%-388
FORTIVE CORP(FTV)8,5720-8,5724740-474
ENERPAC TOOL GROUP CORP(EPAC)13,6020-13,6024960-496
ACCELERANT HOLDINGS(ARX)000000
ORTHOPEDIATRICS CORP94,09049,854-44,2361,4939540.22%-540
UPWORK INC(UPWK)000000
ALAMO GROUP INC13,3759,935-3,4402,2061,6340.38%-572
RYAN SPECIALTY HOLDINGS INC(RYAN)17,9100-17,9106040-604
ROBERT HALF INC(RHI)29,4040-29,4047470-747
BURFORD CAPITAL LTD
ORD SHS
175,7800-175,7807950-795
CROCS INC(CROX)9,6640-9,6648020-802
RBC BEARINGS INC(RBC)2,7744,621+1,8471,5074610.11%-1,046
TRADEWEB MARKETS INC(TW)9,8370-9,8371,1570-1,157
ESQUIRE FINL HLDGS INC(ESQ)11,4780-11,4781,2340-1,234
SPX TECHNOLOGIES INC6,3770-6,3771,2750-1,275
NEOGEN CORP(NEOG)148,2560-148,2561,3770-1,377
FEDERAL SIGNAL CORP(FSS)27,01856,554+29,5362,9221,4290.33%-1,493
ICON PLC(ICLR)13,9670-13,9671,5460-1,546
RUBRIK INC(RBRK)39,4091,348-38,0611,9302600.06%-1,669
VSE CORP(VSEC)10,1310-10,1311,8680-1,868
KARMAN HLDGS INC(KRMN)29,74414,140-15,6042,3812360.05%-2,145
ENSIGN GROUP INC/THE(ENSG)16,79110,253-6,5383,3831,2210.28%-2,162
INSTALLED BLDG PRODS INC(IBP)8,1960-8,1962,1730-2,173
DEXCOM INC(DXCM)45,40615,737-29,6692,8515640.13%-2,287
M-TRON INDS INC50,8480-50,8483,3990-3,399
PJT PARTNERS INC(PJT)51,71044,025-7,6857,2253,5340.82%-3,691
CORE & MAIN INC(CNM)76,8780-76,8783,7980-3,798
PENNANT GROUP INC/THE181,05831,750-149,3085,5199750.23%-4,544
JFROG LTD(FROG)000000
PERELLA WEINBERG PARTNERS(PWP)423,5108,113-415,3977,6911,9890.46%-5,702
VESTA REAL ESTATE CORP(VTMX)171,7620-171,7625,7270-5,727
PATTERN GROUP INC(PTRN)498,7790-498,7796,2000-6,200
BIO-TECHNE CORP(TECH)135,6460-135,6467,0890-7,089
BEL FUSE INC36,8920-36,8927,3040-7,304
LEMAITRE VASCULAR INC(LMAT)98,7238,906-89,81710,7782,3780.55%-8,400
PRIMORIS SVCS CORP(PRIM)109,967722,440+612,47315,7303,4820.81%-12,248
KADANT INC(KAI)113,603161,010+47,40733,21215,4513.58%-17,761
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