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Latest Van Berkom & Associates Inc. Stock Portfolio

$3.44Billion

Equity Portfolio Value
Last Reported on: 06 Feb, 2024

About Van Berkom & Associates Inc. and it’s 13F Hedge Fund Stock Holdings

Van Berkom & Associates Inc. is a hedge fund based in Canada. On 27-Oct-2022, the fund reported that it had an AUM (Regulated Assets under Management) of $3.2 Billions. In it's latest 13F Holdings report, Van Berkom & Associates Inc. reported an equity portfolio of $3.4 Billions as of 31 Dec, 2023.

The top stock holdings of Van Berkom & Associates Inc. are IRDM, ENV, EEFT. The fund has invested 3.3% of it's portfolio in IRIDIUM COMMUNICATIONS INC. and 3.1% of portfolio in ENVESTNET INC.

The fund managers got completely rid off AVANTAX INC. (BCOR), PAYCOR HCM INC. (PYCR) and VIRTU FINANCIAL (VIRT) stocks. They significantly reduced their stock positions in QUALYS INC. (QLYS), COLLIERS INTERNATIONAL GROUP INC. (CIGI) and BLACKBAUD INC. (BLKB). Van Berkom & Associates Inc. opened new stock positions in PLANET FITNESS INC CL A (PLNT) and FIRST ADVANTAGE CORP. (FA). The fund showed a lot of confidence in some stocks as they added substantially to PAYLOCITY HLDG CORP. (PCTY), CHARLES RIVER LABORATORIES (CRL) and YUM CHINA HOLDINGS (YUMC).

New Buys

Ticker$ Bought
PLANET FITNESS INC CL A53,284,000
FIRST ADVANTAGE CORP.1,388,000

New stocks bought by Van Berkom & Associates Inc.

Additions to existing portfolio by Van Berkom & Associates Inc.

Reductions

Ticker% Reduced
QUALYS INC.-26.59
COLLIERS INTERNATIONAL GROUP INC.-24.48
BLACKBAUD INC.-19.51
GRAND CANYON EDUCATION INC.-18.93
FTI CONSULTING INC.-16.73
INSTALLED BLDG PRODS INC.-15.32
FEDERAL SIGNAL CORP.-14.02
TRACTOR SUPPLY COMPANY-13.91

Van Berkom & Associates Inc. reduced stake in above stock

Sold off

Ticker$ Sold
AVANTAX INC.-66,789,000
PAYCOR HCM INC.-19,610,000
VIRTU FINANCIAL-10,889,000
STANTEC INC.-3,886,000
INMODE LTD.-71,000
ISHARES TR MSCI CHINA ETF-100,000

Van Berkom & Associates Inc. got rid off the above stocks

Current Stock Holdings of Van Berkom & Associates Inc.

Last Reported on: 06 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AMPSISHARES TR MSCI CHINA ETF0.000.000.00SOLD OFF-100
AWIARMSTRONG WORLD INDS INC.2.68937,20092,146,000REDUCED-13.25
BCBRUNSWICK CORP.2.41856,84082,899,000REDUCED-4.79
BCORAVANTAX INC.0.000.000.00SOLD OFF-100
BLKBBLACKBAUD INC.1.67662,63957,451,000REDUCED-19.51
BRCBRADY CORP CL A2.121,241,12072,842,000REDUCED-0.87
CHECHEMED CORP.2.02118,54569,319,000REDUCED-8.82
CIGICOLLIERS INTERNATIONAL GROUP INC.0.2465,8528,345,000REDUCED-24.48
CRLCHARLES RIVER LABORATORIES2.19318,41375,273,000ADDED43.3
CRNCCERENCE INC.2.263,951,91077,695,000ADDED26.17
DADADADA NEXUS LTD. ADR0.01136,181452,000REDUCED-2.71
DOCNDIGITALOCEAN HLDGS INC.1.481,389,87050,994,000REDUCED-2.9
DVDOUBLEVERIFY HOLDINGS INC.2.542,378,13087,468,000REDUCED-10.03
EEFTEURONET WORLDWIDE INC.3.131,060,720107,652,000REDUCED-0.84
ENSGENSIGN GROUP INC.3.05935,207104,940,000REDUCED-6.57
ENVENVESTNET INC.3.142,176,820107,796,000ADDED23.51
FAFIRST ADVANTAGE CORP.0.0483,7421,388,000NEW
FCNFTI CONSULTING INC.1.88323,97264,519,000REDUCED-16.73
FOXFFOX FACTORY HOLDING CORP.1.66844,52356,988,000ADDED21.95
FSSFEDERAL SIGNAL CORP.2.971,332,020102,219,000REDUCED-14.02
GDDYGODADDY INC.0.0414,3791,526,000REDUCED-13.38
GMEDGLOBUS MEDICAL INC.2.441,576,94084,035,000ADDED8.8
GOGROCERY OUTLET HLDG CORP.2.242,853,20076,922,000ADDED19.14
GOOSCANADA GOOSE HOLDINGS INC.0.16453,9135,402,000ADDED22.61
HLIHOULIHAN LOKEY INC.2.78797,86395,672,000REDUCED-7.98
HLNEHAMILTON LANE INC.2.83858,05697,338,000REDUCED-9.99
HQYHEALTHEQUITY INC.1.89981,35165,064,000REDUCED-5.86
IBPINSTALLED BLDG PRODS INC.2.25422,26777,199,000REDUCED-15.32
INMDINMODE LTD.0.000.000.00SOLD OFF-100
IPGPIPG PHOTONICS CORP.0.0411,5001,248,000ADDED0.16
IRDMIRIDIUM COMMUNICATIONS INC.3.282,735,290112,585,000ADDED32.84
KLICKULICKE & SOFFA INDUSTRIES ADR0.0423,1191,265,000REDUCED-2.71
LAURLAUREATE EDUCATION INC.2.666,680,89091,595,000REDUCED-6.24
LOPEGRAND CANYON EDUCATION INC.2.71706,82893,330,000REDUCED-18.93
MKTXMARKETAXESS HOLDINGS INC.1.41165,43948,449,000REDUCED-0.85
MMSMAXIMUS INC.2.731,120,93094,002,000REDUCED-0.29
NMIHNMI HOLDINGS INC. CL A2.122,454,34072,845,000REDUCED-9.39
ORAORMAT TECHNOLOGIES INC.2.531,147,05086,935,000ADDED10.75
PCTYPAYLOCITY HLDG CORP.2.24468,22677,187,000ADDED9,586
PLNTPLANET FITNESS INC CL A1.55729,92253,284,000NEW
PNTGPENNANT GROUP INC.0.05113,0551,574,000ADDED0.16
PRIMPRIMORIS SERVICES CORP.1.911,976,63065,644,000REDUCED-6.94
PTCPTC INC.0.0610,9341,913,000ADDED0.16
PYCRPAYCOR HCM INC.0.000.000.00SOLD OFF-100
QLYSQUALYS INC.2.14375,54973,713,000REDUCED-26.59
RLIRLI CORP.2.21570,30975,920,000ADDED8.28
SHAKSHAKE SHACK INC. CL A2.391,107,12082,060,000ADDED5.81
SHCSOTERA HEALTH CO.0.0472,8911,228,000ADDED17.36
SLABSILICON LABORATORIES INC.2.33606,03480,160,000ADDED5.81
SNEXSTONEX GROUP INC.2.901,352,24099,836,000ADDED34.87
STNSTANTEC INC.0.000.000.00SOLD OFF-100
TCXTUCOWS INC.0.18225,7776,116,000REDUCED-10.28
TECHBIO-TECHNE CORP0.0520,4361,577,000ADDED14.13
THRMGENTHERM INC.2.201,445,81075,703,000ADDED23.2
TPXTEMPUR SEALY INTERNATIONAL INC.2.231,504,72076,695,000ADDED2.39
TSCOTRACTOR SUPPLY COMPANY0.046,1891,331,000REDUCED-13.91
UHSUNIVERSAL HEALTH SERVICES1.18266,50040,625,000REDUCED-0.88
VACMARRIOTT VACATIONS WORLDWIDE CORP.1.53618,87552,536,000ADDED3.27
VCTRVICTORY CAP HLDGS INC. COM CL A2.022,014,42069,377,000ADDED10.94
VIPSVIPSHOP HOLDINGS LIMITED ADR0.0355,140979,000ADDED5.78
VIRTVIRTU FINANCIAL0.000.000.00SOLD OFF-100
YETIYETI HOLDINGS INC.2.101,394,94072,230,000REDUCED-0.03
YUMCYUM CHINA HOLDINGS0.0323,050980,000ADDED38.86
BANK OZK2.721,877,46093,554,000REDUCED-7.58
ATS CORPORATION0.23181,8257,851,000REDUCED-4.2