Net position changes between two of this fund's N-PORT
snapshots. These are differences between point-in-time reports — not a
trade log — and share counts can be affected by splits and other corporate
actions.
Apr 30, 2023 → Jul 31, 2023
Expand a category to
see the positions behind it, ranked by weight.
Security
Shares Apr 2023
Shares Jul 2023
Δ shares
End %
Δ value
EVERCORE INC A
0
28,195
28,195
0.57%
$3.81M
ERGOMED PLC COMMON STOCK GBP.01
0
271,324
271,324
0.56%
$3.78M
BIOMERIEUX
0
32,667
32,667
0.52%
$3.50M
PAGERDUTY INC
0
106,997
106,997
0.41%
$2.77M
CORPORACION INMO VESTA SAB CV ADR
0
69,644
69,644
0.38%
$2.53M
PETERSHILL PLC
0
1,147,692
1,147,692
0.37%
$2.49M
SITIME CORP
0
18,514
18,514
0.36%
$2.39M
INTER CARS SA
0
12,194
12,194
0.29%
$1.95M
CROWDWORKS INC
0
149,400
149,400
0.20%
$1.36M
CENTURY PACIFIC
0
2,275,800
2,275,800
0.16%
$1.08M
Security
Shares Apr 2023
Shares Jul 2023
Δ shares
End %
Δ value
DECHRA PHARMACEUTICALS PLC
391,967
0
-391,967
0.00%
-$18.37M
GENPACT LTD
221,698
0
-221,698
0.00%
-$9.88M
LEMAITRE VASCULAR INC
102,923
0
-102,923
0.00%
-$5.56M
HESKA CORP
45,226
0
-45,226
0.00%
-$5.30M
HUBSPOT INC
8,442
0
-8,442
0.00%
-$3.55M
BLUE OWL CAPITAL INC A
218,110
0
-218,110
0.00%
-$2.46M
GLACIER BANCORP INC
51,268
0
-51,268
0.00%
-$1.70M
BIZLINK HOLDING INC - RTS (May 2023)
16,827
0
-16,827
0.00%
-$18.06K
Security
Shares Apr 2023
Shares Jul 2023
Δ shares
End %
Δ value
CVS GROUP PLC COMMON STOCK GBP.002
739,787
745,787
6,000
2.94%
$25.24K
OLLIES BARGAIN OUTLET HOLDINGS INC
101,036
122,919
21,883
1.34%
$2.37M
SDIPTECH AB
199,337
271,752
72,415
1.12%
$2.91M
SPORTON INTL
903,954
949,152
45,198
1.08%
-$513.72K
GLOBAL INDUSTRIAL CO
192,187
243,496
51,309
1.03%
$1.82M
SOFTCAT PLC
350,541
352,643
2,102
1.01%
$898.40K
RECORDATI SPA
123,234
125,413
2,179
0.97%
$807.44K
DERMAPHARM HOLDING SE
126,789
131,338
4,549
0.96%
$60.48K
HYPERA SA
543,800
689,600
145,800
0.94%
$2.23M
PJT PARTNERS INC
74,849
76,625
1,776
0.91%
$929.76K
PAYCOM SOFTWARE INC
15,116
16,062
946
0.88%
$1.53M
TSURUHA HOLDINGS
74,100
76,600
2,500
0.88%
$1.04M
NV5 GLOBAL INC
48,764
52,764
4,000
0.86%
$1.16M
THERMADOR HOLDINGS SA
61,905
62,879
974
0.83%
-$839.71K
JTC PLC
522,872
602,443
79,571
0.83%
$355.67K
INTERPUMP SPA
92,681
101,151
8,470
0.82%
$347.67K
TECHTRONIC IND
418,000
478,100
60,100
0.80%
$903.41K
BEIJER ALMA -B
253,396
290,632
37,236
0.79%
-$439.64K
Grupo Aeroportuario del Centro Norte S.A.B. de C.V. SER'B' NPV
392,400
461,000
68,600
0.77%
$891.94K
MARLOWE PLC
252,521
630,544
378,023
0.69%
$3.00M
IMPAX ASSET MANAGEMENT GROUP PLC
572,777
604,966
32,189
0.64%
-$1.38M
TRIMAS CORP
131,329
158,318
26,989
0.61%
$741.20K
MAN WAH HOLDINGS
4,124,900
4,687,300
562,400
0.60%
$581.15K
SHANGHAI HANBE-A
903,700
1,084,600
180,900
0.58%
$722.75K
ADDTECH AB-B SH
123,292
187,292
64,000
0.52%
$1.03M
HALMA PLC COMMON STOCK GBP.1
99,798
119,307
19,509
0.51%
$528.87K
CARENET INC/JAPAN COMMON STOCK
444,200
521,400
77,200
0.51%
$377.98K
HEXPOL AB COMMON STOCK SEK.2
235,268
313,581
78,313
0.51%
$635.93K
PRESTIGE INTL
554,900
807,000
252,100
0.49%
$883.03K
LIFCO AB-B
106,216
161,256
55,040
0.48%
$833.80K
LEENO INDUSTRIAL INC COMMON STOCK
18,998
23,594
4,596
0.47%
$1.22M
SwedenCare AB
538,549
651,855
113,306
0.42%
$1.08M
ARITZIA INC
101,000
137,700
36,700
0.39%
-$589.97K
KITZ CORP
14,400
344,900
330,500
0.38%
$2.46M
HINGHAM INST SVG
9,516
11,349
1,833
0.38%
$673.15K
SILICON LABS
13,200
16,034
2,834
0.36%
$552.55K
RVRC HOLDING AB COMMON STOCK
214,406
436,418
222,012
0.21%
$769.85K
FRP Advisory Group PLC
756,129
875,323
119,194
0.20%
$283.27K
Elixirr International PLC
59,520
81,844
22,324
0.08%
$159.83K
Security
Shares Apr 2023
Shares Jul 2023
Δ shares
End %
Δ value
ICON PLC
29,787
25,273
-4,514
0.95%
$614.23K
BIZLINK HOLDING
659,900
659,079
-821
0.95%
$698.65K
SERIA CO LTD
291,900
272,900
-19,000
0.68%
-$609.96K
RICHELIEU HARDW
200,965
123,965
-77,000
0.62%
-$1.90M
MEDPACE HOLDINGS INC
18,926
14,327
-4,599
0.54%
-$160.68K
Abcam plc
242,082
137,174
-104,908
0.48%
-$728.16K
WNS HOLDINGS LTD ADR USD.16
121,356
44,165
-77,191
0.46%
-$7.89M
AIT CORP
268,100
199,800
-68,300
0.39%
-$519.64K
USER LOCAL INC
140,200
113,700
-26,500
0.26%
-$309.63K
Security
Shares Apr 2023
Shares Jul 2023
Δ shares
End %
Δ value
B+M EUROPEAN VALUE RETAIL SA COMMON STOCK GBP.1
3,818,859
3,818,859
0
4.04%
$4.09M
LITTELFUSE INC
72,007
72,007
0
3.27%
$4.49M
ALTEN
93,899
93,899
0
2.02%
-$2.41M
ENDAVA PLC SPON ADR
253,670
253,670
0
1.98%
-$1.30M
VIRBAC SA
40,133
40,133
0
1.84%
-$1.33M
MELEXIS NV COMMON STOCK
102,099
102,099
0
1.64%
$1.28M
DINO POLSKA SA
94,163
94,163
0
1.56%
$912.45K
Vietnam Technological & Commercial Joint Stock Bank
5,964,004
5,964,004
0
1.29%
$1.14M
QUALYS INC
59,587
59,587
0
1.23%
$1.54M
Musti Group Oyj
411,649
411,649
0
1.20%
-$448.53K
X-FAB SILICON FOUNDRIES SE COMMON STOCK
666,184
666,184
0
1.20%
$2.41M
VOLUTION GROUP
1,557,641
1,557,641
0
1.20%
-$456.14K
FIVE BELOW INC
37,173
37,173
0
1.15%
$408.16K
Globant SA
38,199
38,199
0
1.00%
$682.23K
DIPLOMA PLC
156,894
156,894
0
0.97%
$1.22M
Qiagen NV EUR0.01
135,956
135,956
0
0.95%
$300.46K
SILERGY
553,008
553,008
0
0.87%
-$2.84M
KEYWORDS STUDIOS PLC COMMON STOCK
256,516
256,516
0
0.86%
-$2.90M
INTERTEK GROUP PLC COMMON STOCK GBP.01
99,935
99,935
0
0.83%
$374.66K
CROWDSTRIKE HOLDINGS INC
34,460
34,460
0
0.83%
$1.43M
SELAMAT SEMPURNA TBK PT
40,416,300
40,416,300
0
0.80%
$1.08M
RIVERSTONE HLDGS
11,229,300
11,229,300
0
0.79%
$186.51K
REGIONAL SAB DE
656,927
656,927
0
0.76%
$283.95K
Nexus AG
79,645
79,645
0
0.76%
$524.24K
HANGZHOU ROBAM-A
1,241,826
1,241,826
0
0.76%
$401.08K
RIDGEPOST CAPITAL INC
400,806
400,806
0
0.71%
$609.23K
STRIKE CO LTD
219,800
219,800
0
0.69%
-$1.21M
NEURONES COMMON STOCK
110,960
110,960
0
0.69%
-$22.30K
MARKLINES CO LTD COMMON STOCK
247,400
247,400
0
0.69%
$343.03K
BAYCURRENT INC
142,600
142,600
0
0.69%
-$325.66K
TRANCOM CO LTD
92,570
92,570
0
0.68%
-$46.42K
M&A CAPITAL PART
221,000
221,000
0
0.68%
-$1.69M
4IMPRINT GROUP PLC
75,090
75,090
0
0.64%
$17.79K
PUREGOLD PRICE C
8,009,700
8,009,700
0
0.63%
-$485.50K
ST JAMES'S PLACE PLC COMMON STOCK GBP.15
340,805
340,805
0
0.61%
-$1.06M
METROPOLIS HEALT
245,876
245,876
0
0.61%
$339.87K
PAREX RESOURCES
183,302
183,302
0
0.61%
$338.49K
The Bank of N.T. Butterfield & Son Limited COM BMD0.01(POST REV SPLIT)