Summit Creek Advisors Llc

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

Reported value
$486.8M
Q ending 2026-03-31
Prior quarter
$635.6M
Q ending 2025-12-31
Change
-23.4% QoQ · -28.9% YoY
Positions
65
reported holdings

Largest positions

All 65 reported positions, 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
Littelfuse, Inc.LFUSShares$18.0M53K
Addus HomecareADUSShares$15.1M161K
Casella Waste Systems, Inc.CWSTShares$14.8M187K
Construction Partners, Inc.Shares$14.8M133K
HealthequityShares$13.5M161K
Digitalocean Holdings IncShares$13.2M154K
Five Below, Inc.Shares$13.1M57K
Firstservice CorpShares$12.9M93K
Bio-Techne Corp.Shares$12.8M246K
Option Care Health, Inc.Shares$12.0M445K
Vericel CorporationShares$11.8M365K
Bowman Consulting GroupBWMNShares$11.6M409K
Lemaitre Vascular, Inc.LMATShares$11.5M106K
Willdan Group, Inc.Shares$11.3M148K
Onterris Inc ComONTShares$11.2M511K
Descartes Systems GroupDSGXShares$11.1M155K
Ollie'S Bargain OutletOLLIShares$10.9M119K
Legence Corp.Shares$10.9M193K
Ameris BancorpShares$10.8M139K
Boot Barn HoldingsBOOTShares$10.6M72K
Vita Coco Co, Inc.Shares$10.4M217K
Remitly Global, Inc.Shares$10.0M637K
Pennant Group, Inc.Shares$10.0M327K
Ccc Intelligent SolutionsShares$9.6M1.6M
Exlservice Holdings, Inc.EXLSShares$9.5M312K
Paylocity HoldingsShares$9.2M85K
Chef'S Warehouse, Inc.CHEFShares$9.1M154K
Zeta GlobalShares$8.9M559K
Siteone Landscape SupplyShares$8.5M64K
Alarm.ComALRMShares$8.3M191K
Everpure Inc Cl AShares$8.2M139K
Global-E OnlineShares$8.1M261K
Novanta, Inc.Shares$7.7M65K
Q2 Holdings, Inc.Shares$7.7M163K
Pegasystems, Inc.PEGAShares$7.3M172K
Veracyte, Inc.Shares$7.3M226K
Artivion IncAORTShares$6.9M189K
Dorman Products, Inc.DORMShares$6.8M65K
E. L. F. Beauty, Inc.Shares$6.7M110K
Cbiz, Inc.CBZShares$6.3M235K
Dolby LaboratoriesShares$6.1M101K
Biolife Solutions, Inc.Shares$5.9M309K
Medpace Holdings, Inc.Shares$5.9M12K
Mirion Technologies Inc Cl AShares$5.9M316K
Workiva, Inc.Shares$5.4M91K
Transcat IncTRNSShares$5.0M68K
Floor & Decor Holdings IncFNDShares$4.9M97K
Agilysys, Inc.Shares$4.8M67K
Grid DynamicsShares$4.7M820K
Sps CommerceShares$4.6M82K
Verra Mobility CorpShares$4.0M277K
DoubleverifyShares$3.3M345K
Baldwin Insurance Group IncShares$2.9M134K
Hinge Health Inc Cl AHNGEShares$2.1M54K
Trimble Inc.TRMBShares$447K7K
Jack Henry & AssociatesJKHYShares$379K2K
West Pharmaceutical SvcsWSTShares$323K1K
Advanced Drainage SystemsShares$298K2K
Fair Isaac CorporationFICOShares$283K265
Monolithic Power Systems Inc.MPWRShares$258K236
Tradeweb Markets IncTWShares$253K2K
Nice Ltd Sponsored AdrNICEShares$221K2K
Dynatrace, Inc.DTShares$218K6K
Globus Med Inc Cl AGMEDShares$207K2K
Godaddy Inc.GDDYShares$201K2K

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.