Peregrine Capital Management Llc

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

Reported value
$2.70B
Q ending 2026-03-31
Prior quarter
$3.26B
Q ending 2025-12-31
Change
-17.4% QoQ · -10.5% YoY
Positions
290
reported holdings

Largest positions

Top 100 of 290 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
Amazon.Com IncAMZNShares$106.9M513K
Alphabet Inc Cap Stk Cl AGOOGLShares$103.2M359K
CloudflareNETShares$82.9M402K
Ares Management CorporationARESShares$63.8M585K
Servicenow, IncNOWShares$55.4M530K
Crowdstrike HoldingsCRWDShares$55.2M141K
Uber Technologies IncUBERShares$49.7M691K
Visa Inc Class AVShares$48.4M160K
Intuitive Surgical IncISRGShares$46.0M100K
Mastercard Incorporated Cl AMAShares$45.9M92K
Procore TechnologiesPCORShares$45.8M803K
Snowflake Inc. Class ASNOWShares$44.5M295K
Eli Lilly And CoLLYShares$42.4M46K
DexcomDXCMShares$38.7M617K
Veeva SystemsVEEVShares$36.4M207K
Reddit Inc. Class ARDDTShares$29.0M215K
Costar Group IncCSGPShares$28.2M699K
Draftkings Inc. Class ADKNGShares$25.9M1.2M
Planet Fitness Inc. Class APLNTShares$25.8M346K
Netflix Inc.NFLXShares$24.9M259K
Shopify, Inc. Class ASHOPShares$24.5M207K
Cadence Design SystemsCDNSShares$22.5M81K
Workday Inc. Class AWDAYShares$21.0M161K
Technipfmc PlcShares$20.5M296K
Advanced Energy IndustriesAEISShares$19.9M62K
Synopsys Inc.SNPSShares$18.4M46K
Spx TechnologiesSPXCShares$18.2M91K
Element SolutionsESIShares$17.9M524K
Modine ManufacturingMODShares$16.2M75K
Esco TechnologiesESEShares$16.1M57K
Patrick IndustriesPATKShares$15.1M136K
Synaptics IncorporatedSYNAShares$14.9M213K
Macom Tech SolutionsMTSIShares$14.8M67K
Jfrog LtdShares$14.7M314K
Stifel FinancialSFShares$14.4M195K
Flutter Entertainment PlcShares$14.4M141K
Kirby CorporationKEXShares$13.7M103K
Myr GroupMYRGShares$13.6M48K
Steel DynamicsSTLDShares$13.6M76K
Burlington StoresBURLShares$13.6M42K
Digitalocean HoldingsDOCNShares$13.5M158K
Boise CascadeBCCShares$13.4M176K
FormfactorFORMShares$12.7M131K
ArtivionAORTShares$12.6M343K
Legence CorpLGNShares$12.4M219K
Firstcash HoldingsFCFSShares$12.3M66K
Viavi SolutionsVIAVShares$12.2M367K
Essent Group LtdShares$12.1M208K
Flowserve CorporationFLSShares$12.1M165K
Monday.Com Ltd.Shares$12.1M175K
Construction PartnersROADShares$11.8M106K
Ollie'S Bargain Outlet HlgsOLLIShares$11.7M127K
ArcosaACAShares$11.7M110K
EvercoreEVRShares$11.6M39K
Champion HomesSKYShares$11.5M154K
Advanced Drainage SystemsWMSShares$11.3M83K
Kratos Defense ; Security SolutionKTOSShares$11.2M159K
Jbt Marel CorporationJBTMShares$11.2M87K
Glacier BancorpGBCIShares$11.0M246K
Skyward Specialty Insurance GroupSKWDShares$10.8M247K
Triumph FinancialTFINShares$10.7M180K
Coastal Financial CorporationCCBShares$10.6M140K
HealthequityHQYShares$10.5M126K
Twist Bioscience CorpTWSTShares$10.5M220K
Boot Barn HoldingsBOOTShares$10.4M71K
Aaon IncAAONShares$10.2M124K
Ftai Aviation LtdShares$10.2M42K
On Holding Ag Class AShares$10.1M297K
Performance Food GroupPFGCShares$10.0M116K
Mercury SystemsMRCYShares$9.9M136K
Waystar Holding CorpWAYShares$9.8M407K
Agilysys IncAGYSShares$9.8M138K
Dycom IndustriesDYShares$9.8M29K
Itron IncITRIShares$9.7M109K
Evolv Technologies HoldingsEVLVShares$9.7M1.6M
Aar CorpAIRShares$9.6M88K
Flowco HoldingsFLOCShares$9.4M459K
Csw IndustrialsCSWShares$9.3M36K
Ceco Environmental CorpCECOShares$9.2M154K
Knight-Swift TransportationKNXShares$9.1M157K
Ptc IncPTCShares$9.0M63K
Kbr IncKBRShares$8.8M240K
Generac HoldingsGNRCShares$8.8M45K
Zeta Global HoldingsZETAShares$8.8M550K
Kiniksa PharmaceuticalsShares$8.7M181K
Descartes Systems GroupDSGXShares$8.7M121K
Alkermes PlcShares$8.6M244K
Academy Sports And OutdoorsASOShares$8.6M153K
Mirion TechnologiesMIRShares$8.6M462K
Palomar HoldingsPLMRShares$8.6M72K
Regal Rexnord CorpRRXShares$8.6M46K
Zurn Elkay Water SolutionsZWSShares$8.5M189K
Ss;C TechnologiesSSNCShares$8.5M125K
Virtu FinancialVIRTShares$8.4M191K
Xenon PharmaceuticalsXENEShares$8.3M143K
Biomarin PharmaceuticalBMRNShares$8.3M147K
Allegro MicrosystemsALGMShares$8.2M260K
Signet Jewelers LtdShares$8.2M97K
Everpure IncPShares$8.2M138K
Axsome TherapeuticsAXSMShares$8.0M47K

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.