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Stephens Investment Management Group LLC

All holdings · as of Mar 31, 2026

173 positions

CompanyClassValueShares% of portfolio
SentinelOne, Inc.$30.76M2,387,9160.4%
Wingstop Inc.$30.51M196,8930.4%
Astera Labs, Inc.$29.58M269,8850.4%
Nutanix, Inc.$28.47M749,0720.4%
NLIGHT, INC.$28.30M496,3310.4%
ONTO INNOVATION INC.$27.76M135,3690.4%
Mirion Technologies, Inc.$25.56M1,374,8760.4%
Ambarella Inc$24.46M475,1410.3%
SITIME Corp$24.13M69,8850.3%
TERADYNE, INC$23.95M80,8000.3%
Forgent Power Solutions, Inc.FPSCommon Stock$23.57M805,4170.3%
L3HARRIS TECHNOLOGIES, INC. /DE$23.26M67,4000.3%
COHERENT CORP$23.26M97,6480.3%
Virtu Financial, Inc.$22.71M516,3660.3%
Baker Hughes Co$22.45M367,7060.3%
Fastenal Co$22.44M483,5490.3%
POOL CORP$21.79M107,6710.3%
Azenta Inc$21.64M1,024,0480.3%
Kornit Digital Ltd.$21.50M1,466,4520.3%
CADENCE DESIGN SYSTEMS INC$19.11M68,7810.3%
Marvell Technology, Inc.$18.50M186,7420.3%
Vistra Corp.$18.02M119,8370.2%
Reddit, Inc.$17.79M132,0910.2%
Citizens Community Bancorp Inc/WI$17.39M1,659,7990.2%
Dutch Bros Inc.$16.87M333,0570.2%
Keysight Technologies, Inc.$16.44M58,2170.2%
SPOTIFY TECHNOLOGY S A$16.24M33,4860.2%
DESCARTES SYSTEMS GROUP INC$15.64M218,5700.2%
Diamondback Energy, Inc.$15.59M78,8300.2%
MONTROSE ENVIRONMENTAL GROUP INC$15.21M694,9800.2%
Amprius Technologies, Inc.$15.06M893,1080.2%
PARK AEROSPACE CORP$14.93M545,1570.2%
Copart Inc$14.85M447,4020.2%
Monolithic Power Systems Inc$14.02M12,8250.2%
Solaris Energy Infrastructure, Inc.$12.88M227,8790.2%
BIOLIFE SOLUTIONS INC$12.84M673,1290.2%
York Space Systems Inc.YSSCommon Stock$12.68M571,8470.2%
Hub Group, Inc.$11.77M326,5070.2%
AGILYSYS INC$11.58M162,8110.2%
Robinhood Markets, Inc.$11.46M165,4120.2%
Titan Machinery Inc.$11.38M680,4690.2%
LINDSAY CORP$10.75M90,2740.1%
Tenable Holdings, Inc.$10.71M633,1220.1%
AMERICAN SUPERCONDUCTOR CORP /DE$10.44M308,5150.1%
GULFPORT ENERGY CORP$10.41M49,1800.1%
Henry Schein Inc$10.15M137,6640.1%
VEEVA SYSTEMS INC$9.99M56,8690.1%
Palo Alto Networks Inc$8.61M53,7270.1%
Autodesk, Inc.$8.51M35,5380.1%
GLOBAL E ONLINE LTD$8.42M273,0310.1%
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