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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
ENSIGN GROUP, INC ENSGCommon41,37041,3703,949,180,0003,949,180,00006/30/2023
PROCORE TECHNOLOGIES, INC. PCORCommon59,68059,6803,883,378,0003,883,378,00006/30/2023
TransMedics Group, Inc. TMDXCommon44,21544,2153,713,176,0003,713,176,00006/30/2023
IMPINJ INC PICOM31,32031,3202,807,838,0002,807,838,00006/30/2023
GENERAC HOLDINGS INC. GNRCCOM17,86017,8602,663,462,0002,663,462,00006/30/2023
MADRIGAL PHARMACEUTICALS, INC. MDGLCommon4,2884,288990,528,000990,528,00006/30/2023
INTEGRAL AD SCIENCE HOLDING CORP. IASCOM15,85015,850284,983,000284,983,00006/30/2023
Crane NXT, Co. CRCom2,0002,000178,240,000178,240,00006/30/2023
BOEING CO BACommon700700147,812,000147,812,00006/30/2023
Enova International, Inc. ENVACOM2,3002,300122,176,000122,176,00006/30/2023
Crane NXT, Co. CRStock2,0002,000112,880,000112,880,00006/30/2023
Alteryx, Inc. AYXCommon2,0002,00090,800,00090,800,00006/30/2023
DOCUSIGN, INC. DOCUCOM1,5001,50076,635,00076,635,00006/30/2023
LOUISIANA-PACIFIC CORP LPXCommon60060044,988,00044,988,00006/30/2023
Okta, Inc. OKTACL A15415410,680,00010,680,00006/30/2023
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