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EMERALD ADVISERS, LLC 13F 持仓明细(2026-03-31) · 小隐寺数据中心
EMERALD ADVISERS, LLC
报告期 2026-03-31 · CIK 0001015083
持仓数
248
前50大市值合计
$2.02B
报告期
2026-03-31
当前持仓
调仓
前 50 大持仓
标的
类型
市值
股数
占比*
MOD
MODINE MANUFACTURING CO
COM
$81.9M
378,118
4.1%
GH
GUARDANT HEALTH INC
COM
$77.8M
841,917
3.9%
BE
BLOOM ENERGY CO
COM
$73.4M
541,787
3.6%
TTMI
TTM TECHNOLOGIES INC
COM
$73.1M
750,417
3.6%
COGT
COGENT BIOSCIENCES INC
COM
$61.1M
1,588,132
3.0%
KTOS
KRATOS DEFENSE AND SECURITY
COM
$58.9M
835,929
2.9%
VSEC
VSE CORPORATION
COM
$58.0M
314,789
2.9%
—
FABRINET
COM
$56.1M
107,493
2.8%
AGX
ARGAN INC
COM
$51.9M
95,272
2.6%
AIR
AAR CORPORATION
COM
$48.8M
445,693
2.4%
—
CREDO TECHNOLOGY GROUP HOLDINGS
COM
$46.8M
498,574
2.3%
TVTX
TRAVERE THERAPEUTICS INC
COM
$46.3M
1,557,196
2.3%
ESE
ESCO TECHNOLOGIES INC
COM
$45.8M
162,653
2.3%
MRCY
MERCURY SYSTEMS INC
COM
$43.4M
595,314
2.1%
—
LIVANOVA PLC
COM
$42.6M
670,207
2.1%
LASR
NLIGHT INC
COM
$42.6M
746,674
2.1%
RMBS
RAMBUS INC
COM
$42.4M
493,236
2.1%
AX
AXOS FINANCIAL INC
COM
$42.2M
496,232
2.1%
EYE
NATIONAL VISION HOLDINGS
COM
$38.9M
1,502,644
1.9%
BBIO
BRIDGEBIO PHARMA INC
COM
$38.3M
515,361
1.9%
KLIC
KULICKE AND SOFFA INDUSTRIES
COM
$37.4M
568,996
1.9%
AAOI
APPLIED OPTOELECTRONICS INC
COM
$36.7M
433,882
1.8%
MIRM
MIRUM PHARMACEUTICALS INC
COM
$36.7M
397,263
1.8%
PLMR
PALOMAR HOLDINGS INC
COM
$35.7M
298,359
1.8%
SMTC
SEMTECH CORP
COM
$35.1M
457,018
1.7%
IPGP
IPG PHOTONICS CORP
COM
$34.9M
304,916
1.7%
RSI
RUSH STREET INTERACTIVE INC
COM
$34.2M
1,573,500
1.7%
TMDX
TRANSMEDICS GROUP INC
COM
$34.1M
342,791
1.7%
PLXS
PLEXUS CORP
COM
$33.7M
166,532
1.7%
SEI
SOLARIS ENERGY INFRASTRUCTURE INC
COM
$33.6M
594,687
1.7%
AVAV
AEROVIRONMENT INC
COM
$32.9M
179,874
1.6%
STRL
STERLING INFRASTRUCTURE INC
COM
$32.5M
79,836
1.6%
IMAX
IMAX CORP
COM
$32.3M
849,148
1.6%
OLLI
OLLIE'S BARGAIN OUTLET HOLDINGS
COM
$31.9M
347,125
1.6%
IDCC
INTERDIGITAL INC PA COM
COM
$31.4M
104,065
1.6%
MC
MOELIS & CO
COM
$31.2M
548,077
1.5%
CECO
CECO ENVIRONMENTAL CORP
COM
$31.2M
523,017
1.5%
SYRE
SPYRE THERAPEUTICS
COM
$30.9M
613,365
1.5%
BOOT
BOOT BARN HOLDINGS INC
COM
$30.5M
208,425
1.5%
UMBF
UMB FINANCIAL CORP
COM
$30.2M
267,438
1.5%
ATRO
ASTRONICS CORP
COM
$30.0M
449,126
1.5%
SPXC
SPX TECHNOLOGIES INC
COM
$29.4M
147,250
1.5%
ARLO
ARLO TECHNOLOGIES
COM
$28.7M
2,018,929
1.4%
NKTR
NEKTAR THERAPEUTICS
COM
$28.4M
394,604
1.4%
FRPT
FRESHPET INC
COM
$28.3M
480,703
1.4%
PDFS
PDF SOLUTIONS INC
COM
$28.2M
860,819
1.4%
PIPR
PIPER SANDLER CO
COM
$27.6M
360,578
1.4%
SKWD
SKYWARD SPECIALTY INSURANCE
COM
$27.4M
627,908
1.4%
ALGT
ALLEGIANT TRAVEL CO
COM
$27.4M
338,033
1.4%
TBBK
THE BANCORP INC
COM
$26.4M
491,340
1.3%
* 占比按本页前 50 大持仓市值合计计算
持仓集中度
按前 50 大市值
21%
前 6 大占比
MOD
4.1%
GH
3.9%
BE
3.6%
TTMI
3.6%
COGT
3.0%
KTOS
2.9%
其他
78.9%