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Conestoga Capital Advisors, LLC
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Conestoga Capital Advisors, LLC
All holdings · as of Mar 31, 2026
114 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
RBC Bearings Inc
—
$233.17M
429,309
4.7%
CASELLA WASTE SYSTEMS INC
—
$222.51M
2,804,475
4.4%
BALCHEM CORP
—
$212.05M
1,251,189
4.2%
FIRSTSERVICE CORP NEW
—
$195.29M
1,405,564
3.9%
CONSTRUCTION PARTNERS INC
—
$183.80M
1,654,102
3.7%
Novanta Inc
—
$171.24M
1,449,815
3.4%
LeMaitre Vascular, Inc.
—
$161.22M
1,476,813
3.2%
ESCO TECHNOLOGIES INC
—
$152.44M
541,781
3.0%
DESCARTES SYSTEMS GROUP INC
—
$151.09M
2,111,320
3.0%
CSW INDUSTRIALS, INC.
—
$150.73M
578,434
3.0%
MERIT MEDICAL SYSTEMS INC
—
$149.41M
2,167,513
3.0%
SiteOne Landscape Supply, Inc.
—
$147.31M
1,106,701
2.9%
DIGI INTERNATIONAL INC
—
$144.83M
3,004,773
2.9%
MERCURY SYSTEMS INC
—
$139.88M
1,918,591
2.8%
SPX Technologies, Inc.
—
$131.47M
657,553
2.6%
REPLIGEN CORP
—
$129.34M
1,097,783
2.6%
EXPONENT INC
—
$124.40M
1,906,505
2.5%
Stevanato Group S.p.A.
—
$116.76M
8,491,751
2.3%
MSA Safety Inc
—
$109.00M
664,812
2.2%
BRIGHT HORIZONS FAMILY SOLUTIONS INC.
—
$106.21M
1,293,146
2.1%
AAON, INC.
—
$105.11M
1,270,237
2.1%
Simpson Manufacturing Co., Inc.
—
$103.88M
605,281
2.1%
FEDERAL SIGNAL CORP /DE
—
$93.10M
860,917
1.9%
UL Solutions Inc.
—
$89.96M
1,049,607
1.8%
Helios Technologies Inc
—
$85.75M
1,325,206
1.7%
Q2 Holdings, Inc.
—
$84.32M
1,782,715
1.7%
Vericel Corp
—
$79.24M
2,463,312
1.6%
ROLLINS INC
—
$62.92M
1,177,963
1.3%
BLACKLINE, INC.
—
$62.36M
1,685,484
1.2%
KADANT INC
—
$61.38M
209,949
1.2%
Azenta Inc
—
$60.11M
2,844,546
1.2%
AGILYSYS INC
—
$48.64M
683,741
1.0%
UNIVERSAL TECHNICAL INSTITUTE INC
—
$46.65M
1,292,125
0.9%
GRACO INC
—
$45.77M
540,641
0.9%
WORKIVA INC
—
$44.99M
754,553
0.9%
Watsco, Inc.
—
$44.35M
121,904
0.9%
ARTIVION, INC.
—
$43.04M
1,175,410
0.9%
Guidewire Software, Inc.
—
$41.11M
274,841
0.8%
Karman Holdings Inc.
—
$41.03M
512,521
0.8%
nCino Inc.
—
$40.81M
2,724,354
0.8%
TYLER TECHNOLOGIES, INC.
—
$39.34M
114,908
0.8%
HEICO CORP
—
$39.24M
185,888
0.8%
Jack Henry & Associates Inc
—
$39.09M
247,311
0.8%
WD-40 Co
—
$38.79M
190,200
0.8%
TRANSCAT INC
—
$37.64M
512,518
0.8%
Mirion Technologies, Inc.
—
$34.04M
1,831,019
0.7%
West Pharmaceutical Services Inc
—
$32.83M
130,970
0.7%
CCC Intelligent Solutions Holdings Inc.
—
$31.44M
5,240,492
0.6%
POOL CORP
—
$30.88M
152,624
0.6%
LCI INDUSTRIES
—
$25.11M
204,198
0.5%
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