CCASX
CONESTOGA SMALL CAP FUND
Conestoga Funds

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
45
Top-10 weight
40.53%
Effective holdings ?
34
Crowding ?
388.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 LEMAITRE VASCULAR INC 952,776 $104.01M 4.63%
2 RBC BEARINGS INC 190,810 $103.63M 4.61%
3 CASELLA WASTE SYS INC CL A 1,262,295 $100.15M 4.46%
4 ESCO TECHNOLOGIES INC 339,875 $95.63M 4.25%
5 BALCHEM CORP 564,125 $95.61M 4.25%
6 DIGI INTL INC 1,908,774 $92.00M 4.09%
7 FIRSTSERVICE-WI 634,345 $88.14M 3.92%
8 NOVANTA INC 709,590 $83.81M 3.73%
9 CONSTRUCTION PARTNERS INC CL A 695,150 $77.25M 3.44%
10 SITEONE LANDSCAPE SUPPLY INC 547,790 $72.92M 3.24%
11 MERIT MEDICAL SYSTEMS INC 1,029,730 $70.98M 3.16%
12 CSW INDUSTRI INC 261,325 $68.10M 3.03%
13 DESCARTES SYS 938,531 $67.16M 2.99%
14 MERCURY SYSTEMS INC 873,283 $63.67M 2.83%
15 Stevanato Group S.p.A. ORD SHS STVN 4,381,616 $60.25M 2.68%
16 FED SIGNAL CORP 550,450 $59.53M 2.65%
17 REPLIGEN CORP 489,135 $57.63M 2.56%
18 SPX TECHNOLOGIES INC 281,470 $56.28M 2.50%
19 HELIOS TECHNOLOGIES INC 865,324 $56.00M 2.49%
20 EXPONENT INC 823,800 $53.75M 2.39%
21 AAON INC 621,422 $51.42M 2.29%
22 VERICEL CORP 1,555,620 $50.04M 2.23%
23 BRIGHT HORIZONS FAMILY SOLUTIONS INC 584,940 $48.04M 2.14%
24 MSA SAFETY INC 282,850 $46.37M 2.06%
25 UL SOLUTIONS INC CL A 514,920 $44.13M 1.96%
26 SIMPSON MFG 254,255 $43.64M 1.94%
27 BLACKLINE INC 1,122,615 $41.54M 1.85%
28 AZENTA INC 1,848,072 $39.05M 1.74%
29 Q2 HOLDINGS INC 787,861 $37.27M 1.66%
30 AGILYSYS INC 448,031 $31.87M 1.42%
31 KADANT INC 105,350 $30.80M 1.37%
32 UNIVERSAL TECHNI 837,775 $30.24M 1.35%
33 ARTIVION INC 727,620 $26.65M 1.19%
34 WD-40 CO 124,076 $25.30M 1.13%
35 MIRION TECHNOLOGIES INC-A 1,250,155 $23.24M 1.03%
36 TRANSCAT INC 313,764 $23.05M 1.03%
37 WORKIVA INC 381,969 $22.78M 1.01%
38 NCINO INC 1,381,450 $20.69M 0.92%
39 KARMAN HOLDINGS INC 244,025 $19.53M 0.87%
40 LEGENCE CORP-A 281,635 $15.90M 0.71%
41 CCC INTELLIGENT SOLUTIONS HOLD CL A 2,424,365 $14.55M 0.65%
42 ENPRO INDUSTRIES INC 52,810 $13.24M 0.59%
43 BADGER METER INC 83,700 $12.75M 0.57%
44 CRANE NXT CO 239,140 $9.71M 0.43%
45 MSILF Government Portfolio - Class Advisory MAYXX 4,566,843 $4.57M 0.20%

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.