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Institutional Investment Manager
Summit Creek Advisors LLC
Summit Creek Advisors LLC (CIK: 0001333709) incorporated in Minnesota, located at 120 South Sixth Street, Minneapolis, MN. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 50 holdings with a total value of $702,444,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 NOBILIS HEALTH CORP COM 134,775 916,000 0.13%
2 ENPHASE ENERGY INC 492,980 3,752,000 0.53%
3 IGI LABS INC 835,195 5,262,000 0.75%
4 AAC HLDGS INC 121,510 5,293,000 0.75%
5 STAMPS COM INC COM NEW 77,805 5,724,000 0.81%
6 INOVALON HLDGS INC COM CL A 237,215 6,618,000 0.94%
7 ULTIMATE SOFTWARE GROUP INCORPORATED 42,878 7,047,000 1.00%
8 STRATASYS LTD 209,120 7,305,000 1.04%
9 FIVE BELOW INC 231,365 9,146,000 1.30%
10 POWER SOLUTIONS INTL INC 178,810 9,659,000 1.38%
11 ENVESTNET INC 262,683 10,620,000 1.51%
12 MIMEDX GROUP INC COM 970,729 11,251,000 1.60%
13 8X8 INC NEW COM 1,257,692 11,269,000 1.60%
14 CAVIUM INC 168,979 11,627,000 1.66%
15 MONRO MUFFLER BRAKE INC 189,978 11,809,000 1.68%
16 Ellie Mae Inc 170,163 11,876,000 1.69%
17 SYNTEL INC 255,102 12,112,000 1.72%
18 Callidus Software Inc 782,497 12,191,000 1.74%
19 TUMI HOLDINGS INC 611,830 12,555,000 1.79%
20 SYNAPTICS INC 148,205 12,855,000 1.83%
21 SOLARWINDS INC 279,200 12,879,000 1.83%
22 CALAMP CORP 714,080 13,039,000 1.86%
23 FINANCIAL ENGINES INC 315,525 13,404,000 1.91%
24 VIRTUSA CORPORATION 260,937 13,412,000 1.91%
25 FRESH MARKET INC 421,905 13,560,000 1.93%
26 BOTTOMLINE TECH DEL INC COM 505,123 14,047,000 2.00%
27 TYLER TECHNOLOGIES INC 109,069 14,111,000 2.01%
28 COSTAR GROUP INC 73,120 14,716,000 2.09%
29 BALCHEM CORP 267,886 14,927,000 2.13%
30 PROTO LABS INC COM 228,965 15,451,000 2.20%
31 HEALTHCARE SVCS GRP INC 473,525 15,650,000 2.23%
32 comScore Inc 299,117 15,931,000 2.27%
33 EPAM SYS INC 226,327 16,121,000 2.29%
34 BOFI HLDG INCORPORATED 157,403 16,639,000 2.37%
35 MA COM TECH SOLUTN 442,292 16,918,000 2.41%
36 ASPEN TECHNOLOGY COM USD0.10 376,213 17,137,000 2.44%
37 WAGEWORKS INC COM 432,960 17,513,000 2.49%
38 MOTORCAR PTS AMER INC 593,015 17,844,000 2.54%
39 BIO TECHNE CORP 182,913 18,011,000 2.56%
40 BUFFALO WILD WINGS INC 116,353 18,231,000 2.60%
41 LKQ CORP 619,467 18,736,000 2.67%
42 ICON PLC 278,943 18,773,000 2.67%
43 DORMAN PRODUCTS INC 405,418 19,322,000 2.75%
44 Shutterfly Inc 411,596 19,678,000 2.80%
45 AKORN INCORPORATED 452,562 19,759,000 2.81%
46 GENTHERM INC 363,712 19,971,000 2.84%
47 MAXIMUS INC 329,354 21,648,000 3.08%
48 Roadrunner Transn Syss Inc 897,321 23,151,000 3.30%
49 Advisory Board Co 439,630 24,035,000 3.42%
50 DEALERTRACK TECHNOLOGIES INC 460,956 28,943,000 4.12%

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001333709-15-000017, filed 2015.07.17).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.