Emerald Mutual Fund Advisers Trust

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$2.06B
Q ending 2026-03-31
Prior quarter
$2.05B
Q ending 2025-12-31
Change
+0.4% QoQ · +46.3% YoY
Positions
199
reported holdings

Largest positions

Top 100 of 199 reported positions by value, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
HoldingTickerTypeValueShares
Rbb Fd IncLFSCShares$69.9M2.0M
Modine Manufacturing CoMODShares$51.2M236K
Guardant Health IncGHShares$48.0M520K
Bloom Energy CoBEShares$47.7M352K
Ttm Technologies IncTTMIShares$45.8M470K
Cogent Biosciences IncCOGTShares$39.6M1.0M
Vse CorporationVSECShares$36.1M196K
Kratos Defense And SecurityKTOSShares$36.0M511K
FabrinetShares$33.9M65K
Argan IncAGXShares$32.1M59K
Aar CorporationAIRShares$30.7M280K
Livanova PlcShares$28.9M454K
Axos Financial IncAXShares$28.7M337K
Credo Technology Group HoldingsShares$28.3M301K
Travere Therapeutics IncTVTXShares$28.1M945K
Esco Technologies IncESEShares$27.7M99K
Mercury Systems IncMRCYShares$27.4M375K
Rambus IncRMBSShares$26.4M307K
Nlight IncLASRShares$24.5M430K
National Vision HoldingsEYEShares$24.3M938K
Bridgebio Pharma IncBBIOShares$23.8M320K
Mirum Pharmaceuticals IncMIRMShares$23.1M250K
Applied Optoelectronics IncAAOIShares$23.0M272K
Kulicke And Soffa IndustriesKLICShares$23.0M349K
Transmedics Group IncTMDXShares$22.8M229K
Ipg Photonics CorpIPGPShares$22.1M192K
Semtech CorpSMTCShares$21.9M285K
Rush Street Interactive IncRSIShares$21.4M982K
Plexus CorpPLXSShares$20.7M102K
Spyre TherapeuticsSYREShares$20.6M408K
Aerovironment IncAVAVShares$20.6M112K
Imax CorpIMAXShares$20.0M526K
Sterling Infrastructure IncSTRLShares$19.9M49K
Moelis & CoMCShares$19.5M342K
Palomar Holdings IncPLMRShares$19.5M163K
Pdf Solutions IncPDFSShares$19.4M595K
Boot Barn Holdings IncBOOTShares$18.9M129K
Ceco Environmental CorpCECOShares$18.7M314K
Astronics CorpATROShares$18.6M279K
Spx Technologies IncSPXCShares$18.6M93K
Nektar TherapeuticsNKTRShares$18.4M256K
Interdigital Inc Pa ComIDCCShares$18.3M61K
Ollie'S Bargain Outlet HoldingsOLLIShares$18.2M197K
Umb Financial CorpUMBFShares$17.9M159K
Arlo TechnologiesARLOShares$17.9M1.3M
Solaris Energy Infrastructure IncSEIShares$17.8M315K
Freshpet IncFRPTShares$17.7M301K
The Bancorp IncTBBKShares$17.7M329K
Skyward Specialty InsuranceSKWDShares$17.6M402K
Piper Sandler CoPIPRShares$17.2M225K
Allegiant Travel CoALGTShares$17.2M212K
Customers Bancorp IncCUBIShares$16.8M242K
Mirion Technologies IncMIRShares$16.2M873K
Kalvista Pharmaceuticals Inc4XC1Shares$16.2M806K
Evolv TechnologiesEVLVShares$16.1M2.7M
Trevi TherapeuticsTRVIShares$15.1M1.3M
Cohu IncCOHUShares$15.0M490K
American Semiconductor CorpAMSCShares$14.9M439K
Agilysys IncAGYSShares$14.6M206K
Synaptics IncSYNAShares$14.6M209K
Onto Innovation IncONTOShares$14.5M71K
Cardinal Infrastructure GroupCDNLShares$14.2M359K
Sitime CorporationSITMShares$14.2M41K
Carpenter Technology CorpCRSShares$14.1M36K
Radnet IncRDNTShares$14.0M251K
Tetra TechnologiesTTIShares$14.0M1.6M
Onespaworld Holdings LimitedShares$13.8M600K
Ati IncATIShares$13.7M94K
Palvella Therapeutics IncPVLAShares$13.2M106K
Savara IncSVRAShares$12.9M2.4M
Alphatec Holdings IncATECShares$12.6M1.2M
Varonis Systems IncVRNSShares$11.9M556K
Coastal Financial CorpCCBShares$11.9M157K
Impinj IncPIShares$11.4M111K
Axsome Therapeutics IncAXSMShares$11.3M67K
Bj'S Restaurant IncBJRIShares$11.3M323K
Perella Weinberg PartnersPWPShares$11.3M622K
Five BelowFIVEShares$10.9M48K
Compass IncCOMPShares$10.7M1.5M
Billiontoone IncBLLNShares$10.4M132K
Collegium Pharmaceutical IncCOLLShares$10.1M306K
Lendingclub CorpHAPNShares$10.0M701K
Seacoast Banking Corporation Of FlSBCFShares$9.9M327K
Commvault Systems IncCVLTShares$9.7M124K
Q2 Holdings IncQTWOShares$9.6M204K
Lifetime Group Holdings IncLTHShares$9.6M355K
Lendingtree IncTREEShares$9.4M218K
Bobs Discount FurnitureBOBSShares$9.0M765K
Cytokenetics IncCYTKShares$8.9M135K
Madrigal Pharmaceuticals IncMDGLShares$8.6M17K
Slide Insurance Holdings IncSLDEShares$8.3M460K
Trinity Capital IncTRINShares$8.1M549K
Ionq IncIONQShares$8.0M278K
First Advantage CorpFAShares$7.9M673K
Diodes IncorporatedDIODShares$7.8M114K
Corcept Therapeutics IncCORTShares$7.2M180K
Hinge Health IncHNGEShares$7.0M182K
Veradermics IncMANEShares$6.9M109K
Soleno Therapeutics IncSLNOEURShares$6.7M201K
Corvus Pharmaceuticals IncCRVSShares$6.7M459K

Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.