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Conestoga Capital Advisors, LLC 13F 持仓明细(2026-03-31) · 小隐寺数据中心
Conestoga Capital Advisors, LLC
报告期 2026-03-31 · CIK 0001163744
持仓数
114
前50大市值合计
$4.77B
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*
RBC
RBC BEARINGS INC
COM
$233.2M
429,309
4.9%
CWST
CASELLA WASTE SYS INC
CL A
$222.5M
2,804,475
4.7%
BCPC
BALCHEM CORP
COM
$212.1M
1,251,189
4.5%
FSV
FIRSTSERVICE CORP NEW
COM
$195.3M
1,405,564
4.1%
ROAD
CONSTRUCTION PARTNERS INC
COM CL A
$183.8M
1,654,102
3.9%
NOVT
NOVANTA INC
COM
$171.2M
1,449,815
3.6%
LMAT
LEMAITRE VASCULAR INC
COM
$161.2M
1,476,813
3.4%
ESE
ESCO TECHNOLOGIES INC
COM
$152.4M
541,781
3.2%
DSGX
DESCARTES SYS GROUP INC
COM
$151.1M
2,111,320
3.2%
CSW
CSW INDUSTRIALS INC
COM
$150.7M
578,434
3.2%
MMSI
MERIT MED SYS INC
COM
$149.4M
2,167,513
3.1%
SITE
SITEONE LANDSCAPE SUPPLY INC
COM
$147.3M
1,106,701
3.1%
DGII
DIGI INTL INC
COM
$144.8M
3,004,773
3.0%
MRCY
MERCURY SYS INC
COM
$139.9M
1,918,591
2.9%
SPXC
SPX TECHNOLOGIES INC
COM
$131.5M
657,553
2.8%
RGEN
REPLIGEN CORP
COM
$129.3M
1,097,783
2.7%
EXPO
EXPONENT INC
COM
$124.4M
1,906,505
2.6%
—
STEVANATO GROUP S P A
ORD SHS
$116.8M
8,491,751
2.5%
MSA
MSA SAFETY INC
COM
$109.0M
664,812
2.3%
BFAM
BRIGHT HORIZONS FAM SOL IN D
COM
$106.2M
1,293,146
2.2%
AAON
AAON INC
COM PAR $0.004
$105.1M
1,270,237
2.2%
SSD
SIMPSON MFG INC
COM
$103.9M
605,281
2.2%
FSS
FEDERAL SIGNAL CORP
COM
$93.1M
860,917
2.0%
ULS
UL SOLUTIONS INC
CLASS A COM SHS
$90.0M
1,049,607
1.9%
HLIO
HELIOS TECHNOLOGIES INC
COM
$85.8M
1,325,206
1.8%
QTWO
Q2 HLDGS INC
COM
$84.3M
1,782,715
1.8%
VCEL
VERICEL CORP
COM
$79.2M
2,463,312
1.7%
ROL
ROLLINS INC
COM
$62.9M
1,177,963
1.3%
BL
BLACKLINE INC
COM
$62.4M
1,685,484
1.3%
KAI
KADANT INC
COM
$61.4M
209,949
1.3%
AZTA
AZENTA INC
COM
$60.1M
2,844,546
1.3%
AGYS
AGILYSYS INC
COM
$48.6M
683,741
1.0%
UTI
UNIVERSAL TECHNICAL INST INC
COM
$46.6M
1,292,125
1.0%
GGG
GRACO INC
COM
$45.8M
540,641
1.0%
WK
WORKIVA INC
COM CL A
$45.0M
754,553
0.9%
WSO
WATSCO INC
COM
$44.3M
121,904
0.9%
AORT
ARTIVION INC
COM
$43.0M
1,175,410
0.9%
GWRE
GUIDEWIRE SOFTWARE INC
COM
$41.1M
274,841
0.9%
KRMN
KARMAN HLDGS INC
COMMON STOCK
$41.0M
512,521
0.9%
NCNO
NCINO INC
COM
$40.8M
2,724,354
0.9%
TYL
TYLER TECHNOLOGIES INC
COM
$39.3M
114,908
0.8%
HEI/A
HEICO CORP NEW
CL A
$39.2M
185,888
0.8%
JKHY
HENRY JACK & ASSOC INC
COM
$39.1M
247,311
0.8%
WDFC
WD 40 CO
COM
$38.8M
190,200
0.8%
TRNS
TRANSCAT INC
COM
$37.6M
512,518
0.8%
MIR
MIRION TECHNOLOGIES INC
COM CL A
$34.0M
1,831,019
0.7%
WST
WEST PHARMACEUTICAL SVSC INC
COM
$32.8M
130,970
0.7%
CCC
CCC INTELLIGENT SOLUTIONS HL
COM
$31.4M
5,240,492
0.7%
POOL
POOL CORP
COM
$30.9M
152,624
0.6%
LCII
LCI INDS
COM
$25.1M
204,198
0.5%
* 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
26%
前 6 大占比
RBC
4.9%
CWST
4.7%
BCPC
4.5%
FSV
4.1%
ROAD
3.9%
NOVT
3.6%
其他
74.4%