Fund HoldingsKent Lake PR LLC

Total Portfolio Value
$195.46M
Total Bought
$88.89M
Total Sold
$120.11M
Net Transaction
-$31.22M
Filing Period:
Securities
SharesValue ($K)
Q2 2025
Q3 2025
Change
Q2 2025
Q3 2025
Weight (%)
Change
INTEGRA LIFESCIENCES HLDGS C(IART)0752,086+752,086010,7775.51%+10,777
UPWORK INC(UPWK)0500,000+500,00009,2854.75%+9,285
MESA LABS INC0134,516+134,51609,0144.61%+9,014
CAREDX INC(CDNA)0550,000+550,00007,9974.09%+7,997
PENNANT GROUP INC465,100865,000+399,90013,88321,81511.16%+7,932
GREEN DOT CORP0506,303+506,30306,8003.48%+6,800
TELEFLEX INCORPORATED(TFX)040,000+40,00004,8942.50%+4,894
BIOVENTUS INC350,0361,000,200+650,1642,3176,6913.42%+4,374
STITCH FIX INC01,000,000+1,000,00004,3502.23%+4,350
TANDEM DIABETES CARE INC(TNDM)0250,000+250,00003,0351.55%+3,035
TENABLE HLDGS INC(TENB)0100,000+100,00002,9161.49%+2,916
INNOVAGE HLDG CORP(INNV)1,697,0361,739,685+42,6496,2628,9774.59%+2,715
MATCH GROUP INC NEW(MTCH)075,000+75,00002,6491.36%+2,649
BETA BIONICS INC0125,000+125,00002,4841.27%+2,484
FLYWIRE CORPORATION(FLYW)414,406500,000+85,5944,8496,7703.46%+1,921
ORASURE TECHNOLOGIES INC0567,860+567,86001,8230.93%+1,823
PULMONX CORP0926,157+926,15701,5000.77%+1,500
PACS GROUP INC(PACS)(Call)0108,400+108,40001,488+1,488
ENVIRI CORP500,000450,000-50,0004,3405,7112.92%+1,371
PACS GROUP INC(PACS)(Put)075,000+75,00001,030+1,030
PDF SOLUTIONS INC(PDFS)142,221150,000+7,7793,0413,8731.98%+832
RAYONIER ADVANCED MATLS INC048,019+48,01903470.18%+347
CLARUS CORP NEW050,671+50,67101770.09%+177
TILLYS INC067,833+67,83301400.07%+140
DESTINATION XL GROUP INC0102,239+102,23901340.07%+134
CONSENSUS CLOUD SOLUTIONS IN250,000200,000-50,0005,7655,8743.01%+109
EUROPEAN WAX CTR INC
CLASS A COM
81,893133,030+51,1374615310.27%+70
NEUROPACE INC925,0001,000,000+75,00010,30510,3105.27%+6
COGNYTE SOFTWARE LTD200,000200,00001,8481,6800.86%-168
SI-BONE INC206,245250,000+43,7553,8823,6801.88%-202
REGIS CORPORATION18,4890-18,4894120-412
SKILLSOFT CORP126,08378,313-47,7702,0141,0200.52%-994
STANDARD BIOTOOLS INC1,000,0000-1,000,0001,2000-1,200
ENERGIZER HLDGS INC NEW(ENR)75,0000-75,0001,5120-1,512
OMNIAB INC1,750,000500,000-1,250,0003,0458000.41%-2,245
CITI TRENDS INC210,290150,000-60,2907,0224,6552.38%-2,367
NEOGEN CORP(NEOG)500,0000-500,0002,3900-2,390
CLARITEV CORPORATION100,00035,000-65,0004,5131,8580.95%-2,655
ENHABIT INC
COM
1,200,0001,079,607-120,39311,5688,6484.42%-2,920
NERDWALLET INC275,0000-275,0003,0170-3,017
SIX FLAGS ENTERTAINMENT CORP(FUN)100,0000-100,0003,0430-3,043
ECOVYST INC(ECVT)400,0000-400,0003,2920-3,292
INOGEN INC1,061,294500,000-561,2947,4614,0852.09%-3,376
VIEMED HEALTHCARE INC1,179,605700,000-479,6058,1514,7532.43%-3,398
RXSIGHT INC300,0000-300,0003,9000-3,900
XPONENTIAL FITNESS INC550,0000-550,0004,1200-4,119
UNIVERSAL ELECTRS INC1,260,642867,400-393,2428,3454,0422.07%-4,303
FIVERR INTL LTD150,0000-150,0004,4000-4,399
REPAY HLDGS CORP1,500,000500,000-1,000,0007,2302,6151.34%-4,615
ZIMVIE INC500,0000-500,0004,6750-4,675
ORION S.A.450,7140-450,7144,7280-4,728
MITEK SYS INC900,000400,000-500,0008,9103,9082.00%-5,002
ENSIGN GROUP INC(ENSG)35,0000-35,0005,3990-5,399
GROUPON INC(GRPN)175,0000-175,0005,8540-5,854
MYRIAD GENETICS INC1,250,0000-1,250,0006,6380-6,637
NCR VOYIX CORPORATION1,500,000750,000-750,00017,5959,4134.82%-8,182
QUANTERIX CORP2,301,0001,001,000-1,300,00015,3025,4352.78%-9,866
CONCENTRIX CORP(CNXC)267,2500-267,25014,1250-14,125
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