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Congress Small Cap Growth Fund

Professionally Managed Portfolios

Assets: $1.3B Net: $1.3B Series: S000058028 EDGAR ↗
+13
New
-12
Exited
53
Positions
Period:
vs
Compare:
← All Funds
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Stride Inc LRN Apr 2025 308,029 New $43.8M 3.49% EC
2 InterDigital Inc IDCC Apr 2025 200,000 New $40.2M 3.20% EC
3 Commvault Systems Inc CVLT Apr 2025 240,000 New $40.1M 3.19% EC
4 Ligand Pharmaceuticals Inc LGND Apr 2024 350,000 $38.5M +57.2% 3.06% EC
5 Ollie's Bargain Outlet Holding OLLI Apr 2024 360,000 +110,000 $38.2M +108.9% 3.04% EC
6 Badger Meter Inc BMI Apr 2024 170,000 +10,000 $37.5M +28.3% 2.99% EC
7 Sensient Technologies Corp SXT Apr 2025 390,000 New $36.6M 2.92% EC
8 Knife River Corp KNF Apr 2024 390,000 +80,000 $36.4M +50.2% 2.90% EC
9 ACI Worldwide Inc ACIW Apr 2025 680,000 New $36.3M 2.89% EC
10 CSW Industrials Inc CSWI Apr 2024 115,000 $35.9M +31.5% 2.86% EC
11 Sterling Infrastructure Inc STRL Apr 2024 235,000 -95,000 $35.1M +4.7% 2.80% EC
12 Integer Holdings Corp ITGR Apr 2024 270,000 +5,000 $34.1M +15.3% 2.72% EC
13 Box Inc BOX Apr 2025 1,075,000 New $33.6M 2.67% EC
14 Prestige Consumer Healthcare I PBH Apr 2024 410,000 +40,000 $33.3M +25.4% 2.65% EC
15 Merit Medical Systems Inc MMSI Apr 2024 350,000 $33.1M +27.5% 2.63% EC
16 LeMaitre Vascular Inc LMAT Apr 2024 362,900 -37,100 $32.9M +27.0% 2.62% EC
17 Balchem Corp BCPC Apr 2024 205,000 +60,000 $32.1M +56.5% 2.56% EC
18 Ameris Bancorp ABCB Apr 2024 540,000 +55,000 $31.6M +37.4% 2.52% EC
19 Champion Homes Inc SKY Apr 2024 365,000 +40,000 $31.6M +29.5% 2.51% EC
20 Nova Ltd NVMI Apr 2024 160,000 -160,000 $31.4M +134.1% 2.50% EC
21 Criteo SA CRTO Apr 2025 910,000 New $31.0M 2.47% EC
22 PJT Partners Inc PJT Apr 2025 215,000 New $30.5M 2.43% EC
23 AeroVironment Inc AVAV Apr 2024 200,000 -15,000 $30.3M -11.8% 2.41% EC
24 Primoris Services Corp PRIM Apr 2025 505,000 New $30.3M 2.41% EC
25 Calix Inc CALX Apr 2024 740,000 +115,000 $30.3M +74.7% 2.41% EC
26 Moog Inc MOG/A Apr 2024 180,000 +20,000 $30.1M +18.3% 2.40% EC
27 Inspire Medical Systems Inc INSP Apr 2025 190,000 New $30.1M 2.40% EC
28 UFP Technologies Inc UFPT Apr 2024 140,000 +35,000 $29.2M +35.0% 2.33% EC
29 Rambus Inc RMBS Apr 2025 595,000 New $29.0M 2.31% EC
30 Crane NXT Co CXT Apr 2024 600,000 +230,000 $28.2M +25.1% 2.24% EC
31 Enpro Inc NPO Apr 2024 180,000 +15,000 $26.9M +8.6% 2.14% EC
32 Cohen & Steers Inc CNS Apr 2024 350,000 +135,000 $26.7M +80.6% 2.13% EC
33 Vericel Corp VCEL Apr 2024 700,000 +230,000 $26.6M +23.4% 2.12% EC
34 Boot Barn Holdings Inc BOOT Apr 2024 255,000 -45,000 $26.6M -16.7% 2.12% EC
35 Interface Inc TILE Apr 2025 1,400,000 New $26.3M 2.10% EC
36 Power Integrations Inc POWI Apr 2024 495,600 +170,600 $24.3M +12.3% 1.94% EC
37 JBT Marel Corp JBTM Apr 2025 213,500 New $22.5M 1.79% EC
38 elf Beauty Inc ELF Apr 2024 355,000 +170,000 $22.0M -27.0% 1.75% EC
39 YETI Holdings Inc YETI Apr 2024 750,000 +230,000 $21.4M +15.3% 1.71% EC
40 SM Energy Co SM Apr 2024 658,705 +43,705 $15.0M -49.7% 1.20% EC
41 First American Treasury Obliga FXFXX Apr 2024 7,820,700 +7,220,927 $7.8M +1203.9% 0.62% STIV
Onto Innovation Inc 683344105 180,000 Exited $33.4M
Sprouts Farmers Market Inc 85208M102 480,000 Exited $31.7M
Comfort Systems USA Inc 199908104 102,000 Exited $31.6M
Valvoline Inc 92047W101 620,000 Exited $26.4M
ICF International Inc 44925C103 175,000 Exited $25.3M
FTI Consulting Inc 302941109 110,000 Exited $23.5M
Qualys Inc 74758T303 140,000 Exited $22.9M
MGP Ingredients Inc 55303J106 270,000 Exited $21.2M
Progyny Inc 74340E103 635,000 Exited $20.4M
Chuy's Holdings Inc 171604101 615,000 Exited $18.1M
Supernus Pharmaceuticals Inc 868459108 570,000 Exited $17.2M
Core Laboratories Inc 21867A105 1,085,000 Exited $17.1M