Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
HOOD RIVER CAPITAL MANAGEMENT LLC 08-02-2019 06-30-2019 104 2,129,901,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
SAGE THERAPEUTICS INC COMMON STOCKS 1 $66,541,000 363,432 3.12 2.80 13,064 3.73
ELDORADO RESORT COMMON STOCKS 2 $60,602,000 1,315,428 2.85 3.00 39,209 3.07
FIRST CASH FINANCIAL SERVICES INC COMMON STOCKS 3 $57,737,000 577,256 2.71 2.23 65,653 12.83
CHART INDUSTRIES INC COMMON STOCKS 4 $52,807,000 686,871 2.48 2.41 158,414 29.98
HARSCO CORP COMMON STOCKS 5 $50,731,000 1,848,800 2.38 1.73 146,234 8.59
CHARLES RIV LABORATORIES INTL COMMON STOCKS 6 $50,487,000 355,791 2.37 2.38 29,616 9.08
KINSALE CAPITAL GROUP INC COMMON STOCKS 7 $49,869,000 545,140 2.34 1.81 19,823 3.77
AMARIN CORP PLC -ADR COMMON STOCKS 8 $46,126,000 2,378,848 2.17 2.15 323,122 15.72
MASTEC INC COMMON STOCKS 9 $44,569,000 864,920 2.09 2.02 30,675 3.68
COSTAR GROUP INC COMMON STOCKS 10 $43,096,000 77,783 2.02 1.76 2,767 3.69
GLOBANT SA COMMON STOCKS 11 $42,862,000 424,163 2.01 2.04 -143,680 -25.30
EURONET WORLDWIDE INC COMMON STOCKS 12 $40,724,000 242,058 1.91 1.10 88,880 58.02
MERIT MEDICAL SYSTEMS COMMON STOCKS 13 $39,138,000 657,123 1.84 1.20 270,462 69.95
CONMED CORP COMMON STOCKS 14 $38,346,000 448,126 1.80 1.81 16,114 3.73
GRAND CANYON EDUCATION INC COMMON STOCKS 15 $37,964,000 324,424 1.78 1.80 11,417 3.65
TABULA RASA HEALTHCARE INC COMMON STOCKS 16 $36,818,000 737,392 1.73 1.56 189,362 34.55
CHEGG INC COMMON STOCKS 17 $36,052,000 934,219 1.69 1.82 -12,767 -1.35
LHC GROUP LLC COMMON STOCKS 18 $35,995,000 301,013 1.69 1.62 10,657 3.67
KRATOS DEFENSE & SECURITY COMMON STOCKS 19 $35,436,000 1,548,114 1.66 0.14 1,373,231 785.23
SELECT MEDICAL HOLDINGS CORP COMMON STOCKS 20 $35,079,000 2,210,396 1.65 1.40 229,171 11.57
TELADOC HEALTH INC COMMON STOCKS 21 $34,321,000 516,811 1.61 0.84 214,898 71.18
RAPID7 INC COMMON STOCKS 22 $34,259,000 592,315 1.61 1.60 -36,131 -5.75
NUVASIVE INC COMMON STOCKS Liquidated $0 0 1.99 682,313 +Inf
INTEGRA LIFESCIENCES HOLDING COMMON STOCKS 24 $33,634,000 602,226 1.58 0.51 421,454 233.14
CYBERARK SOFTWARE LTD/ISRAEL COMMON STOCKS Liquidated $0 0 1.64 1.74 -123,214 -31.01
MEDIFAST INC COMMON STOCKS 26 $31,525,000 245,714 1.48 1.32 40,508 19.74
TPI COMPOSITES INC COMMON STOCKS 27 $29,864,000 1,208,084 1.40 1.90 -109,885 -8.34
LIGAND PHARMACEUTICALS COMMON STOCKS Liquidated $0 0 1.76 219,803 +Inf
KNIGHT-SWIFT TRANSPORTATION COMMON STOCKS Liquidated $0 0 1.46 1.75 -295,935 -24.97
WNS HOLDINGS LTD ADR COMMON STOCKS 30 $27,838,000 470,237 1.31 1.26 610 0.13
INNOVATIVE INDUSTRIAL PROPER COMMON STOCKS 31 $27,551,000 222,980 1.29 0.97 -14,067 -5.93
HEXCEL CORP COMMON STOCKS 32 $27,039,000 334,304 1.27 1.12 11,840 3.67
EHEALTH INC COMMON STOCKS 33 $27,017,000 313,791 1.27 313,791 +Inf
LAUREATE EDUCATION INC-A COMMON STOCKS 34 $26,650,000 1,696,341 1.25 1.16 154,524 10.02
DYCOM INDUSTRIES INC COMMON STOCKS 35 $26,502,000 450,170 1.24 0.76 122,470 37.37
ZUMIEZ INC COMMON STOCKS 36 $25,116,000 962,292 1.18 1.16 34,085 3.67
LUMENTUM HOLDINGS INC COMMON STOCKS 37 $24,395,000 456,754 1.15 1.37 -23,551 -4.90
MACROGENICS INC COMMON STOCKS 38 $24,020,000 1,415,445 1.13 1.31 -27,751 -1.92
TIER REIT INC COMMON STOCKS Liquidated $0 0 1.21 1.09 -62,677 -6.96
DIGIMARC CORP COMMON STOCKS 40 $23,528,000 530,031 1.10 0.91 -43,510 -7.59
PRA HEALTH SCIENCES INC COMMON STOCKS Liquidated $0 0 1.37 252,017 +Inf
ORTHOFIX MEDICAL INC COMMON STOCKS 42 $22,714,000 429,548 1.07 1.18 14,930 3.60
STONERIDGE,INC COMMON STOCKS 43 $22,370,000 709,030 1.05 1.00 21,752 3.16
RENT-A-CENTER INC COMMON STOCKS 44 $22,159,000 832,096 1.04 0.84 29,612 3.69
EVERBRIDGE INC COMMON STOCKS Liquidated $0 0 1.11 1.02 -10,399 -3.41
MAGNACHIP SEMICONDUCTOR COMMON STOCKS 46 $21,751,000 2,101,583 1.02 0.76 50,157 2.44
SUNRUN INC COMMON STOCKS 47 $21,664,000 1,154,800 1.02 0.70 171,480 17.44
MAXLINEAR INC COMMON STOCKS Liquidated $0 0 1.27 1,220,069 +Inf
INTEGRATED DEVICE TECH INC COMMON STOCKS Liquidated $0 0 1.26 442,737 +Inf
WRIGHT MEDICAL GROUP NV COMMON STOCKS 50 $20,865,000 699,690 0.98 1.07 24,486 3.63
HERMAN MILLER INC COMMON STOCKS 51 $20,788,000 465,059 0.98 0.79 16,620 3.71
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