Riverbridge Partners Llc

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

Reported value
$4.09B
Q ending 2026-03-31
Prior quarter
$5.33B
Q ending 2025-12-31
Change
-23.4% QoQ · -34.5% YoY
Positions
192
reported holdings

Largest positions

Top 100 of 192 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
Nvidia CorporationNVDAShares$201.7M1.2M
Microsoft CorporationMSFTShares$170.2M460K
Five Below, Inc.FIVEShares$130.8M572K
Rb Global, Inc.RBAShares$122.2M1.3M
Grand Canyon Education, Inc.LOPEShares$121.8M717K
Amazon.Com, Inc.AMZNShares$117.1M562K
Ensign Group, Inc.ENSGShares$114.7M569K
Medpace Holdings, Inc.MEDPShares$114.0M237K
Heico CorporationHEIShares$111.4M406K
Analog Devices, Inc.ADIShares$110.3M347K
Fastenal CompanyFASTShares$103.1M2.2M
Tyler Technologies, Inc.TYLShares$87.8M256K
Kinsale Capital Group, Inc.KNSLShares$84.1M246K
Privia Health Group, Inc.PRVAShares$80.6M3.9M
Alphabet, Inc. Class AGOOGLShares$77.0M268K
Kadant, Inc.KAIShares$73.7M252K
Rollins, Inc.ROLShares$66.4M1.2M
West Pharmaceutical Services,WSTShares$65.5M261K
S&P Global, Inc.SPGIShares$61.3M144K
Alphabet, Inc. Class CGOOGShares$60.3M210K
Servicenow, Inc.NOWShares$57.5M550K
Verisk Analytics, Inc.VRSKShares$55.3M292K
Freshpet, Inc.FRPTShares$54.4M923K
Veeva Systems, Inc.VEEVShares$54.1M308K
Paylocity Holding CorporationPCTYShares$49.9M462K
Costar Group, Inc.CSGPShares$49.5M1.2M
Watsco, Inc.WSOShares$47.9M132K
Glaukos CorporationGKOSShares$46.6M433K
Idexx Laboratories, Inc.IDXXShares$46.4M83K
Tesla, Inc.TSLAShares$45.2M122K
Netflix Inc.NFLXShares$44.6M464K
Visa, Inc.VShares$42.8M142K
Danaher CorporationDHRShares$42.2M223K
Linde PlcShares$40.0M81K
Workiva, Inc.WKShares$38.8M651K
Cintas CorporationCTASShares$38.8M229K
Starbucks CorporationSBUXShares$38.3M428K
Cognex CorporationCGNXShares$35.0M715K
Exponent, Inc.Shares$34.8M533K
Guidewire Software, Inc.GWREShares$34.3M230K
Floor & Decor Holdings, Inc.FNDShares$33.3M655K
Descartes Systems Group, Inc.DSGXShares$32.3M451K
Unitedhealth Group, Inc.UNHShares$32.0M118K
Bio-Techne CorporationTECHShares$31.8M609K
Globant S.A.Shares$31.7M688K
Simpson Manufacturing Company,SSDShares$31.1M181K
Salesforce, Inc.CRMShares$30.8M165K
Repligen CorporationRGENShares$30.5M258K
Csw Industrials, Inc.CSWShares$30.1M116K
Motorola Solutions, Inc.MSIShares$29.2M67K
Fair Isaac CorporationFICOShares$28.7M27K
Ccc Intelligent Solutions HoldCCCShares$26.9M4.5M
Option Care Health, Inc.OPCHShares$26.5M984K
Dutch Bros, Inc.BROSShares$25.9M511K
Alarm.Com Holdings, Inc.ALRMShares$25.6M593K
Aaon, Inc.AAONShares$25.0M302K
Entegris, Inc.ENTGShares$25.0M213K
Sap Se AdrSAPShares$23.8M139K
Transcat, Inc.TRNSShares$22.8M310K
Sps Commerce, Inc.SPSCShares$22.7M407K
First Watch Restaurant Group,FWRGShares$21.9M2.1M
Riverbridge Growth Fund - InstRIVBXShares$21.4M841K
Pennant Group, Inc.PNTGShares$20.1M661K
Synopsys, Inc.SNPSShares$19.5M49K
Chemed CorporationCHEShares$19.2M51K
Agilysys, Inc.AGYSShares$18.2M256K
Power Integrations, Inc.POWIShares$17.2M336K
Hillman Solutions CorporationHLMNShares$17.1M2.1M
Loar Holdings, Inc.LOARShares$14.8M258K
Appfolio, Inc.APPFShares$13.9M88K
Casella Waste Systems, Inc.CWSTShares$13.7M173K
Doubleverify Holdings, Inc.DVShares$13.7M1.4M
Casey'S General Stores, Inc.CASYShares$12.8M18K
Toast, Inc.TOSTShares$12.2M460K
Willscot Holdings CorporationWSCShares$11.6M669K
Lemaitre Vascular, Inc.LMATShares$11.5M106K
Doximity, Inc.DOCSShares$11.4M490K
Acv Auctions, Inc.ACVAShares$11.4M2.7M
Rbc Bearings, Inc.RBCShares$11.1M20K
Charles River Laboratories IntCRLShares$11.0M64K
Alkami Technology, Inc.ALKTShares$10.8M689K
Ishares Core S&P 500 EtfIVVShares$10.7M16K
Godaddy, Inc.GDDYShares$10.4M125K
Twfg, Inc.TWFGShares$10.1M550K
Jack Henry & Associates, Inc.JKHYShares$10.0M63K
Stevanato Group SpaShares$9.3M673K
Goosehead Insurance, Inc.GSHDShares$8.4M196K
Barrett Business Services, IncBBSIShares$8.3M284K
Align Technology, Inc.ALGNShares$8.2M48K
Grid Dynamics Holdings, Inc.GDYNShares$8.1M1.4M
Apple Inc.AAPLShares$8.1M32K
Vanguard Index Fds Extend MktVXFShares$4.9M24K
Inspire Medical Systems, Inc.INSPShares$4.8M92K
Vanguard Index Tr 500 Index AdVFIAXShares$4.3M7K
Orthopediatrics CorporationShares$4.2M263K
Tjx Companies, Inc.TJXShares$3.8M24K
Ecolab, Inc.ECLShares$3.6M13K
Ishares Tr Russell 2000 GrowthIWOShares$3.5M11K
Brookfield Real Assets IncomeRAShares$3.1M240K
Snap-On, Inc.SNAShares$3.1M8K

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.