Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
CHAMPLAIN INVESTMENT PARTNERS LLC 08-13-2019 06-30-2019 117 11,914,511,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%) Date Reported
Integra LifeSciences Holdings COM 1 $321,709,000 5,760,230 2.70 2.66 286,410 5.23 06-30-2019
Everest Re Group, Ltd. COM 2 $240,726,000 973,890 2.02 1.67 84,640 9.52 06-30-2019
Blackbaud, Inc. COM 3 $224,361,000 2,686,956 1.88 1.72 219,316 8.89 06-30-2019
Catalent Inc COM 4 $219,954,000 4,057,445 1.85 1.39 143,945 3.68 06-30-2019
Arthur J. Gallagher & Co. COM 5 $206,673,000 2,359,550 1.73 1.55 84,965 3.74 06-30-2019
Aptargroup, Inc. COM 6 $201,641,000 1,621,690 1.69 1.53 -28,175 -1.71 06-30-2019
Nordson Corporation COM 7 $193,797,000 1,371,435 1.63 1.53 43,450 3.27 06-30-2019
Splunk Inc. COM 8 $193,065,000 1,535,305 1.62 1.70 -30,795 -1.97 06-30-2019
Waters Corporation COM 9 $191,987,000 891,965 1.61 1.84 53,340 6.36 06-30-2019
Ritchie Bros. Auctioneers Inco COM 10 $191,485,000 5,764,155 1.61 1.67 118,945 2.11 06-30-2019
Pure Storage, Inc. Class A COM 11 $190,603,000 12,482,210 1.60 1.87 2,627,355 26.66 06-30-2019
Medidata Solutions, Inc. COM 12 $186,912,000 2,065,100 1.57 1.53 -325,055 -13.60 06-30-2019
John Wiley & Sons, Inc. Class COM 13 $185,464,000 4,044,125 1.56 1.51 128,045 3.27 06-30-2019
TreeHouse Foods, Inc. COM 14 $180,448,000 3,335,450 1.51 1.81 118,635 3.69 06-30-2019
DENTSPLY SIRONA, Inc. COM 15 $174,540,000 2,990,740 1.46 1.25 99,945 3.46 06-30-2019
Fortive Corp. COM 16 $172,070,000 2,110,770 1.44 1.49 75,955 3.73 06-30-2019
New Relic, Inc. COM 17 $169,266,000 1,956,605 1.42 1.48 233,725 13.57 06-30-2019
Tractor Supply Company COM 18 $166,749,000 1,532,620 1.40 1.39 -93,255 -5.74 06-30-2019
AMETEK, Inc. COM 19 $162,375,000 1,787,480 1.36 1.26 50,655 2.92 06-30-2019
Cantel Medical Corp. COM 20 $160,993,000 1,996,447 1.35 0.98 308,132 18.25 06-30-2019
Northern Trust Corporation COM 21 $160,807,000 1,786,745 1.35 1.36 63,295 3.67 06-30-2019
Workday, Inc. Class A COM 22 $158,352,000 770,270 1.33 1.27 17,060 2.26 06-30-2019
Palo Alto Networks, Inc. COM 23 $157,262,000 771,800 1.32 1.73 -44,540 -5.46 06-30-2019
Prosperity Bancshares, Inc.(R) COM 24 $156,895,000 2,375,400 1.32 1.22 343,100 16.88 06-30-2019
Flowers Foods, Inc. COM 25 $156,262,000 6,715,160 1.31 1.17 422,010 6.71 06-30-2019
Veeva Systems Inc Class A COM 26 $155,115,000 956,850 1.30 1.31 -230,485 -19.41 06-30-2019
Ulta Beauty Inc COM 27 $154,631,000 445,765 1.30 1.52 -52,745 -10.58 06-30-2019
Edwards Lifesciences Corporati COM 28 $152,084,000 823,235 1.28 1.21 95,335 13.10 06-30-2019
Bio-Techne Corporation COM 29 $151,613,000 727,195 1.27 1.25 7,105 0.99 06-30-2019
IDEX Corporation COM 30 $150,576,000 874,730 1.26 1.15 7,920 0.91 06-30-2019
Rockwell Automation, Inc. COM 31 $149,707,000 913,795 1.26 1.15 161,115 21.41 06-30-2019
J.M. Smucker Company COM 32 $147,881,000 1,283,800 1.24 1.28 25,730 2.05 06-30-2019
Advance Auto Parts, Inc. COM 33 $140,866,000 913,885 1.18 1.03 220,380 31.78 06-30-2019
Verisk Analytics Inc COM 34 $140,046,000 956,205 1.18 1.36 -216,470 -18.46 06-30-2019
Cooper Companies, Inc. COM 35 $139,407,000 413,805 1.17 1.01 23,085 5.91 06-30-2019
Sensient Technologies Corporat COM 36 $135,145,000 1,839,205 1.13 1.07 27,100 1.50 06-30-2019
International Flavors & Fragra COM 37 $130,794,000 901,465 1.10 0.98 33,075 3.81 06-30-2019
Laboratory Corporation of Amer COM 38 $130,388,000 754,125 1.09 0.97 25,400 3.49 06-30-2019
CONMED Corporation COM 39 $124,278,000 1,452,360 1.04 1.04 19,025 1.33 06-30-2019
Masimo Corporation COM 40 $122,512,000 823,225 1.03 0.96 27,505 3.46 06-30-2019
Okta, Inc. Class A COM 41 $122,434,000 991,285 1.03 1.07 -497,845 -33.43 06-30-2019
John Bean Technologies Corpora COM 42 $122,068,000 1,007,740 1.02 0.80 9,820 0.98 06-30-2019
Hormel Foods Corporation COM 43 $121,671,000 3,001,255 1.02 1.01 415,600 16.07 06-30-2019
Hostess Brands, Inc. Class A COM 44 $120,416,000 8,339,035 1.01 0.86 454,285 5.76 06-30-2019
Sally Beauty Holdings, Inc. COM 45 $118,421,000 8,877,105 0.99 1.36 432,475 5.12 06-30-2019
Nutanix, Inc. Class A COM 46 $118,299,000 4,560,470 0.99 1.16 1,044,920 29.72 06-30-2019
Brown-Forman Corporation Class COM 47 $116,415,000 2,100,220 0.98 0.95 26,790 1.29 06-30-2019
LogMeIn, Inc. COM 48 $116,150,000 1,576,415 0.97 1.06 56,815 3.74 06-30-2019
Q2 Holdings, Inc. COM 49 $107,934,000 1,413,490 0.91 0.77 142,820 11.24 06-30-2019
Welbilt Inc COM 50 $107,933,000 6,463,080 0.91 0.91 117,915 1.86 06-30-2019
Avanos Medical, Inc. COM 51 $107,086,000 2,455,532 0.90 0.89 53,545 2.23 06-30-2019
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