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Hood River Capital Management LLC
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Hood River Capital Management LLC
All holdings · as of Dec 31, 2025
175 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
LATTICE SEMICONDUCTOR CORP
—
$67.88M
922,577
0.7%
Babcock & Wilcox Enterprises, Inc.
BW
Common Stock
$67.51M
10,648,389
0.7%
Axsome Therapeutics, Inc.
—
$66.88M
366,176
0.7%
ExlService Holdings Inc
—
$66.81M
1,574,133
0.7%
RAMBUS INC
—
$65.14M
708,846
0.7%
Mirion Technologies, Inc.
—
$65.11M
2,780,137
0.7%
EAGLE MATERIALS INC
—
$61.10M
295,645
0.7%
ESCO TECHNOLOGIES INC
—
$58.66M
300,195
0.6%
FLOWSERVE CORP
—
$57.75M
832,335
0.6%
NEUROCRINE BIOSCIENCES INC
—
$55.21M
389,297
0.6%
DigitalOcean Holdings, Inc.
—
$54.77M
1,138,128
0.6%
Grand Canyon Education, Inc.
—
$51.79M
311,436
0.6%
Five Below Inc
—
$50.18M
266,389
0.6%
Syndax Pharmaceuticals Inc
—
$48.67M
2,316,553
0.5%
Hut 8 Corp.
—
$47.85M
1,041,669
0.5%
Nuvalent, Inc.
—
$47.82M
475,440
0.5%
TG Therapeutics Inc
—
$47.14M
1,581,234
0.5%
XOMETRY INC
—
$46.55M
782,783
0.5%
Enovis CORP
—
$46.31M
1,738,185
0.5%
TOWER SEMICONDUCTOR LTD
—
$46.26M
393,992
0.5%
Academy Sports & Outdoors, Inc.
—
$46.21M
924,935
0.5%
Almonty Industries Inc.
—
$46.09M
5,231,489
0.5%
INTERFACE INC
—
$45.89M
1,643,498
0.5%
APPLIED OPTOELECTRONICS, INC.
—
$44.47M
1,275,621
0.5%
TTM Technologies Inc
—
$43.74M
633,940
0.5%
Axon Enterprise Inc
—
$42.44M
74,733
0.5%
UNIVERSAL TECHNICAL INSTITUTE INC
—
$42.29M
1,618,453
0.5%
BLACKBERRY LTD
—
$42.01M
11,084,465
0.5%
Crinetics Pharmaceuticals, Inc.
—
$41.77M
897,403
0.5%
Fabrinet
—
$37.40M
82,157
0.4%
AXT INC
—
$32.90M
2,012,228
0.4%
Oddity Tech Ltd
—
$31.49M
783,730
0.3%
nCino Inc.
—
$31.45M
1,226,726
0.3%
Camping World Holdings, Inc.
—
$30.99M
3,185,403
0.3%
TRANSCAT INC
—
$30.96M
545,816
0.3%
Kura Sushi USA, Inc.
—
$30.85M
589,511
0.3%
Freshpet, Inc.
—
$30.73M
504,276
0.3%
LandBridge Co LLC
LB
Common Stock
$30.43M
621,071
0.3%
NLIGHT, INC.
—
$30.18M
804,457
0.3%
WESBANCO INC
—
$29.73M
894,431
0.3%
CLEAN HARBORS INC
—
$29.72M
126,765
0.3%
SOLENO THERAPEUTICS, INC.
—
$28.61M
618,005
0.3%
Q2 Holdings, Inc.
—
$28.36M
393,041
0.3%
CALIX, INC
—
$27.70M
523,261
0.3%
Northern Oil & Gas Inc
—
$27.27M
1,270,371
0.3%
Schneider National, Inc.
SNDR
Common Stock
$27.24M
1,026,734
0.3%
Symbotic Inc.
—
$27.01M
453,992
0.3%
HA Sustainable Infrastructure Capital, Inc.
—
$26.57M
845,496
0.3%
Butterfly Network, Inc.
—
$26.43M
6,954,486
0.3%
RHYTHM PHARMACEUTICALS, INC.
—
$25.37M
237,043
0.3%
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