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Cortina Asset Management, LLC

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
NCR CORP NCRCommon375,062-403,19611,664,000-9,575,0000.720.31 Hist 06/30/2019
Ingevity Corp NGVTCOM186,035-49,48519,565,000-5,308,0001.210.44 Hist 06/30/2019
CRAY INC CRAYCommon132,660-239,2134,619,000-5,068,0000.290.32 Hist 06/30/2019
DULUTH HOLDINGS INC. DLTHCOM CL B429,307-4,1475,834,000-4,500,0000.361.31 Hist 06/30/2019
Benefitfocus, Inc. BNFTCOM178,986-1,5284,859,000-4,080,0000.300.55 Hist 06/30/2019
INTER PARFUMS INC IPARCommon366,908-3,54924,396,000-3,711,0001.511.17 Hist 06/30/2019
PlayAGS, Inc. AGSCommon574,087-38,04111,166,000-3,482,0000.691.62 Hist 06/30/2019
Oxford Immunotec Global PLC OXFDORD SHS442,723-105,8336,092,000-3,360,0000.381.66 Hist 06/30/2019
COLUMBUS MCKINNON CORP CMCOCommon108,203-116,2074,541,000-3,167,0000.280.46 Hist 06/30/2019
ANIMAS CORP PUMPCOM1,142,244-30,95323,644,000-2,800,0001.46  Hist 06/30/2019
GLU MOBILE INC GLUUCommon728,449-5,4015,230,000-2,798,0000.320.50 Hist 06/30/2019
PHOTRONICS INC PLABCommon395,493-237,7073,243,000-2,741,0000.200.59 Hist 06/30/2019
MKS INSTRUMENTS INC MKSICommon156,382-2,17012,181,000-2,572,0000.750.29 Hist 06/30/2019
Nine Energy Service, Inc. NINECOM406,424-3,8977,043,000-2,251,0000.441.32 Hist 06/30/2019
Acquity Group Ltd AQCOM170,441-296,4092,221,000-2,009,0000.14  Hist 06/30/2019
Spirit Airlines, Inc. SAVECOM119,811-26,1225,719,000-1,995,0000.350.18 Hist 06/30/2019
LIVEPERSON INC LPSNCommon245,215-52,0396,876,000-1,750,0000.430.38 Hist 06/30/2019
FORMFACTOR INC FORMCommon365,870-98,6305,733,000-1,741,0000.350.49 Hist 06/30/2019
KORN FERRY KFYCommon311,584-2,99012,485,000-1,602,0000.770.55 Hist 06/30/2019
NEOGENOMICS INC NEOCOMMON220,020-84,2774,827,000-1,399,0000.300.23 Hist 06/30/2019
GLAUKOS Corp GKOSCommon62,928-13,4474,745,000-1,241,0000.290.17 Hist 06/30/2019
Permian Resources Corp CDEVCommon966,102-8,8697,333,000-1,237,0000.450.35 Hist 06/30/2019
PATTERSON UTI ENERGY INC PTENCommon465,981-4,4695,363,000-1,233,0000.330.22 Hist 06/30/2019
Rapid7, Inc. RPDSTOCK111,879-38,7016,471,000-1,150,0000.400.23 Hist 06/30/2019
CASTLIGHT HEALTH, INC. CSLTCL B1,980,813-14,7416,398,000-1,085,0000.401.38 Hist 06/30/2019
FIVE BELOW, INC FIVECOM48,904-6,7935,869,000-1,051,0000.360.09 Hist 06/30/2019
Limoneira CO LMNRCommon263,962-1,9655,263,000-994,0000.331.49 Hist 06/30/2019
BIODELIVERY SCIENCES INTERNATIONAL INC BDSICOM1,291,404-9,5906,005,000-890,0000.371.48 Hist 06/30/2019
RealPage, Inc. RPCOM330,915-4,46619,474,000-880,0001.210.35 Hist 06/30/2019
Manitex International, Inc. MNTXCOM549,918-4,0243,360,000-878,0000.212.79 Hist 06/30/2019
WEBSTER FINANCIAL CORP WBSCommon209,442-2,83610,005,000-751,0000.620.23 Hist 06/30/2019
VERACYTE, INC. VCYTCommon241,956-58,3476,898,000-616,0000.430.58 Hist 06/30/2019
ICF International, Inc. ICFICommon150,193-1,45010,934,000-603,0000.680.80 Hist 06/30/2019
WERNER ENTERPRISES INC WERNCommon175,370-1,5085,450,000-590,0000.340.25 Hist 06/30/2019
Air Transport Services Group, Inc. ATSGCOM348,985-46,0008,515,000-589,0000.530.59 Hist 06/30/2019
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