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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

Van Berkom & Associates Inc. INSTITUTION : Van Berkom & Associates Inc.
Van Berkom & Associates Inc. Portfolio (reported on 2020-02-13)
Company (links to holding history) Ticker Value On
2019-12-31
No of Shares % of portfolio
MARKETAXESS HOLDINGS INC.    (COM) MKTX 123,296,000 325,225 3.33%
MARRIOTT VACATIONS WORLDWIDE CORP.    (COM) VAC 122,974,000 955,062 3.32%
GRAND CANYON EDUCATION INC.    (COM) LOPE 122,846,000 1,282,456 3.31%
IRIDIUM COMMUNICATIONS INC.    (COM) IRDM 107,237,000 4,352,144 2.89%
COLLIERS INTERNATIONAL GROUP INC.    (SUB VTG SHS) 106,042,000 807,580 2.86%
CARDTRONICS PLC.    (SHS CL A) 102,832,000 2,303,063 2.77%
LAUREATE EDUCATION, INC.    (CL A) 102,360,000 5,812,634 2.76%
EURONET WORLDWIDE INC.    (COM) EEFT 101,086,000 641,570 2.73%
ENVESTNET, INC.    (COM) ENV 95,890,000 1,377,130 2.59%
MAXIMUS, INC.    (COM) MMS 95,257,000 1,280,514 2.57%
HOULIHAN LOKEY INC.    (CL A) 92,620,000 1,895,224 2.50%
CHEMED CORP.    (COM) CHE 91,990,000 209,421 2.48%
VIRTU FINANCIAL    (CL A) 89,892,000 5,621,761 2.42%
THOR INDUSTRIES INC.    (COM) THO 89,834,000 1,209,236 2.42%
INTERNATIONAL FCSTONE INC.    (COM) INTL 89,593,000 1,834,799 2.42%
HURON CONSULTING GROUP INC.    (COM) HURN 89,546,000 1,303,060 2.41%
CHARLES RIVER LABORATORIES    (COM) CRL 89,194,000 583,881 2.40%
BRUNSWICK CORP.    (COM) BC 86,959,000 1,449,792 2.34%
GLOBUS MEDICAL INC.    (CL A) GMED 86,277,000 1,465,295 2.33%
TIVITY HEALTH INC    (COM) 84,375,000 4,146,186 2.27%
ACUSHNET HOLDINGS CORP.    (COM) 82,254,000 2,530,883 2.22%
GENTHERM INC.    (COM) THRM 81,711,000 1,840,743 2.20%
PRIMORIS SERVICES CORP.    (COM) PRIM 79,821,000 3,589,069 2.15%
FIRSTSERVICE CORP.    (COM) 79,014,000 503,237 2.13%
THERMON GROUP HOLDINGS INC    (COM) THR 77,458,000 2,890,211 2.09%
RLI CORP.    (COM) RLI 77,381,000 859,603 2.09%
SILICON LABORATORIES INC.    (COM) SLAB 76,919,000 663,207 2.07%
TEMPUR SEALY INTERNATIONAL INC.    (COM) TPX 75,826,000 870,965 2.04%
CBOE GLOBAL MARKETS INC.    (COM) CBOE 73,690,000 614,086 1.99%
FOX FACTORY HOLDING CORP.    (COM) FOXF 73,303,000 1,053,656 1.98%
AZZ INC.    (COM) AZZ 73,232,000 1,593,736 1.97%
HMS HOLDINGS CORP.    (COM) HMSY 70,124,000 2,369,063 1.89%
FUNKO INC    (COM CL A) 70,028,000 4,080,900 1.89%
RE/MAX HOLDINGS INC.    (CL A) RMAX 68,225,000 1,772,533 1.84%
SHUTTERSTOCK INC.    (COM) SSTK 62,509,000 1,457,761 1.68%
HEALTHCARE SERVICES GROUP INC.    (COM) HCSG 59,769,000 2,457,598 1.61%
UNIVERSAL HEALTH SERVICES    (CL B) UHS 57,349,000 399,757 1.54%
AMBARELLA INC.    (SHS) AMBA 56,176,000 927,611 1.51%
REV GROUP INC    (COM) 52,684,000 4,307,807 1.42%
DXP ENTERPRISES INC.    (COM NEW) DXPE 50,279,000 1,262,986 1.35%
TUCOWS INC.    (COM NEW) TCX 46,486,000 437,388 1.25%
LANDSTAR SYSTEM INC    (COM) LSTR 44,602,000 391,691 1.20%
STANTEC INC.    (COM) SXC 41,834,000 877,648 1.13%
WADDELL AND REED FINANCIAL, INC.    (CL A) WDR 37,916,000 2,267,703 1.02%
HERMAN MILLER INC.    (COM) MLHR 34,565,000 829,890 0.93%
AMERICAN RENAL ASSOCIATES HOLDINGS    (COM) 28,043,000 2,704,234 0.75%
BLUCORA, INC.    (COM) BCOR 26,688,000 1,020,975 0.72%
ORMAT TECHNOLOGIES INC.    (COM) ORA 26,148,000 350,880 0.70%
US SILICA HOLDINGS INC.    (COM) SLCA 17,062,000 2,774,235 0.46%
TRIP.COM GROUP LTD    (ADS) 5,115,000 152,519 0.13%
VIPSHOP HOLDINGS LIMITED    (SPONSORED ADS A) VIPS 4,841,000 341,652 0.13%
NEW ORIENTAL EDUCATION & TECHNOLOGY    (SPON ADR) EDU 3,520,000 29,027 0.09%
KULICKE & SOFFA INDUSTRIES    (COM) KLIC 3,184,000 117,069 0.08%
CHINA DISTANCE EDUCATION HOLDINGS    (SPONS ADR) 2,788,000 344,670 0.07%
21VIANET GROUP INC.    (SPONSORED ADS A) VNET 2,748,000 379,059 0.07%
BOK FINANCIAL CORPORATION    (COM NEW) BOKF 1,429,000 16,354 0.03%
TAKE-TWO INTERACTIVE SOFTWARE    (COM) TTWO 1,387,000 11,333 0.03%
IPG PHOTONICS CORP.    (COM) IPGP 1,381,000 9,527 0.03%
TRACTOR SUPPLY COMPANY    (COM) TSCO 1,344,000 14,387 0.03%
BANK OZK    (COM) 1,214,000 39,806 0.03%
PREMIER INC.    (CL A) PINC 1,104,000 29,135 0.02%
NOAH HOLDINGS LIMITED    (SPON ADS CL A) NOAH 178,000 5,022 0.00%
Total Value As 2019-12-31: 3,701,429,000 SEC FILING
* Portfolios do not reflect changes after reporting
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