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Reported Holdings Of The
Emerald Mutual Fund Advisers Trust

Legal Name: EMERALD MUTUAL FUND ADVISERS TRUST

Period of report: Jun 30, 2019
Effectiveness Date: Jul 31, 2019

Security Shares Held / Principal Amount Market Value Option
CHEGG INC COM USD0.001 (163092109) 1,704,391 $65,772k
PLANET FITNESS INC CL A (72703H101) 612,722 $44,386k
Kratos Defense & Security Solu (50077B207) 1,908,637 $43,689k
CIENA CORPORATION (171779309) 1,018,003 $41,870k
FIVE BELOW INC COM (33829M101) 346,905 $41,636k
NEOGENOMICS INC (64049M209) 1,865,759 $40,935k
CADENCE BANCORP (12739A100) 1,932,508 $40,196k
FRESHPET INC COM (358039105) 797,333 $36,287k
MERCURY SYS INC COM (589378108) 463,440 $32,603k
CHURCHILL DOWNS INC (171484108) 278,726 $32,073k
FORESCOUT TECHNOLOGIES INC COM (34553D101) 923,731 $31,278k
INTEGER HLDGS CORP (45826h109) 355,030 $29,794k
HORIZON THERAPEUTICS PLC (G46188101) 1,188,856 $28,604k
Children's Place (168905107) 271,190 $25,866k
CHART INDUSTRIES INC COM USD0.01 (16115Q308) 333,763 $25,660k
INSPERITY INC COM (45778Q107) 208,917 $25,517k
NV5 GLOBAL INC COM (62945V109) 303,646 $24,717k
PLURALSIGHT INC COM CL A (72941B106) 813,447 $24,664k
OLLIES BARGAIN OUT (681116109) 282,589 $24,616k
ARENA PHARMACEUTICALS INC COM NEW (040047607) 388,418 $22,773k
PACIFIC PREMIER BANC (69478X105) 735,944 $22,726k
INSMED INC (457669307) 842,246 $21,561k
American Eagle Outfitters, Inc (02553E106) 1,263,707 $21,357k
GREEN DOT CORP CL A (39304D102) 432,133 $21,131k
HAEMONETICS CORP/MASS (405024100) 166,617 $20,051k
CENTERSTATE BK CORP (15201P109) 856,115 $19,716k
CRAY INC COM NEW (225223304) 565,069 $19,676k
EHEALTH INC COM (28238P109) 228,323 $19,659k
COGENT COMMUNICATIONS (19239V302) 323,375 $19,196k
JACK IN THE BOX INC (466367109) 233,797 $19,029k
PROOFPOINT INC COM USD0.0001 (743424103) 152,050 $18,284k
Meritage Homes Corp (MTH) (59001A102) 355,142 $18,233k
MOELIS & COMPANY (60786M105) 514,561 $17,984k
GLU MOBILE INC (379890106) 2,493,485 $17,903k
Everi Holdings Inc (30034T103) 1,460,172 $17,420k
OCEANFIRST FINANCIAL CORP (675234108) 688,829 $17,117k
AIMMUNE THERAPEUTICS INC (00900T107) 776,943 $16,176k
PTC THERAPEUTICS INC (69366J200) 354,748 $15,964k
ALARM.COM HOLDINGS INC (011642105) 297,989 $15,942k
ADDUS HOMECARE CORP (006739106) 208,195 $15,604k
ARQULE INC (04269E107) 1,400,600 $15,421k
PLAYAGS INC (72814N104) 783,174 $15,233k
AIR TRANSPORT SERVICES GRP I (00922R105) 612,876 $14,954k
MERIT MEDICAL SYSTEMS INC (589889104) 237,353 $14,137k
LUMENTUM HLDGS INC (55024U109) 257,696 $13,764k
H&E Equipment Services, Inc. (404030108) 461,972 $13,439k
BIOHAVEN PHARMACTL HLDG CO L (G11196105) 306,042 $13,402k
DICERNA PHARMACEUTICALS INC (253031108) 843,895 $13,291k
ATRICURE INC (04963C209) 433,912 $12,948k
Portola Pharmaceuticals Inc (737010108) 475,934 $12,912k
Model N, Inc. (607525102) 651,669 $12,708k
INNOSPEC INC (45768S105) 130,518 $11,908k
PQ Group Holdings Inc. (73943t103) 733,681 $11,629k
META FINL GROUP INC (59100U108) 401,147 $11,252k
ATLANTIC UN BANKSHAR (04911A107) 313,726 $11,084k
INTERCEPT PHARMACEUTICALS (45845P108) 137,898 $10,973k
AMERANT BANCORP INC (023576101) 533,450 $10,514k
LIVANOVA PLC (G5509L101) 145,587 $10,476k
MONMOUTH REAL ESTATE INVT CO (609720107) 760,009 $10,298k
Metropolitan Bank Holding Corp. (591774104) 229,276 $10,088k
HARSCO CORP (415864107) 362,760 $9,954k
CARPENTER TECHNOLOGY CORP (144285103) 194,703 $9,342k
INNOVATIVE INDL PPTYS INC (45781V101) 74,831 $9,246k
BANK7 CORP (06652N107) 498,975 $9,226k
New Fortress Energy, L.L.C. (644393100) 776,616 $9,094k
ESQUIRE FINANCIAL HOLDINGS I (29667J101) 351,830 $8,849k
EVO PAYMENT INC (26927e104) 275,217 $8,678k
AVROBIO INC (05455M100) 522,590 $8,497k
INDUSTRIAL LOGISTICS PROPERT (456237106) 406,868 $8,471k
BANK OF NT BUTTERFIELD & SON LTD (G0772R208) 248,623 $8,443k
INSTRUCTURE INC (45781U103) 198,007 $8,415k
BRIDGEWATER BANCSHARES INC (108621103) 726,641 $8,385k
KARYOPHARM THERAPEUTICS INC (48576U106) 1,375,399 $8,239k
MARCUS CORP COM (566330106) 249,281 $8,216k
DECIPHERA PHARMACEUTICALS IN (24344T101) 364,105 $8,211k
CHUYS HLDGS INC COM (171604101) 358,196 $8,210k
BIODELIVERY SCI INTL (09060J106) 1,708,277 $7,943k
Delek US Holdings, Inc. (24665A103) 187,103 $7,581k
NOODLES & CO (65540B105) 942,759 $7,429k
Merchants Bancorp (58844R108) 434,759 $7,404k
CURO GROUP HLDGS CORP (23131L107) 657,262 $7,263k
HERITAGE FINL CORP WASH (42722X106) 230,146 $6,799k
COASTAL FINANCIAL CORP/WA (19046P209) 434,321 $6,719k
ETSY INC COM (29786A106) 108,673 $6,669k
PURE STORAGE INC (74624M102) 421,999 $6,444k
OPUS BK IRVINE CALIF COM (684000102) 304,535 $6,429k
Guaranty Bancshares, Inc. (400764106) 200,000 $6,230k
KIRKLAND LAKE GOLD COM NPV ISIN #CA49741E1007 SEDOL #BD4G349 (49741E100) 141,390 $6,068k
ONCOCYTE CORPORATION (68235C107) 2,380,180 $5,927k
Malvern Bancorp, Inc. (561409103) 262,103 $5,769k
Business First Bancshares, Inc. (12326C105) 224,440 $5,712k
Assembly Biosciences Inc (045396108) 418,143 $5,641k
First Virginia Community Bank (36120Q101) 288,277 $5,598k
Leaf Group Ltd (52177g102) 730,058 $5,410k
BAYCOM CORP (07272M107) 244,595 $5,357k
EBIX INC (278715206) 106,304 $5,339k
CANNAE HOLDINGS INC (13765N107) 176,340 $5,110k
Origin Bancorp Inc. (68621T102) 150,710 $4,973k
CBTX INC (12481V104) 175,146 $4,929k
PROFESSIONAL HOLDING CORP (743139107) 279,177 $4,919k
CNB FINANCIAL CORP/PA (126128107) 166,927 $4,714k
FIRST MID BANCSHARES (320866106) 134,051 $4,681k
BANK OF COMERCE HLDG (06424J103) 424,577 $4,539k
KNOLL INC (498904200) 190,337 $4,374k
Oil States International Inc (678026105) 233,417 $4,272k
FIRST CHOICE BANCORP (31948P104) 186,000 $4,230k
INTRICON CORP COM (46121H109) 175,400 $4,097k
ADAMAS PHARMACEUTICALS INC (00548A106) 616,664 $3,823k
PEOPLES UTAH BANCORP (712706209) 129,277 $3,801k
APPLIED THERAPEUTICS INC (03828A101) 460,980 $3,798k
OLD LINE BANCSHARES (67984M100) 133,139 $3,543k
Bryn Mawr Bank Corp (117665109) 93,600 $3,493k
APPLIED INDUSTRIAL TECH INC (03820C105) 56,438 $3,473k
First Bancshares, Inc. (318916103) 113,927 $3,457k
FS BANCORP INC (30263Y104) 66,405 $3,444k
American Riviera Bank (02932A106) 185,488 $3,404k
OneMain Holdings, Inc. (68268W103) 99,650 $3,369k
PERSONALIS INC (71535D106) 119,980 $3,257k
Ameris Bancorp (03076K108) 81,856 $3,208k
POPULAR INC (733174700) 58,653 $3,181k
NEW RELIC INC COM (64829B100) 35,159 $3,042k
Amalgamated Bank (022663108) 165,084 $2,881k
Civista Bancshares Inc (178867107) 118,810 $2,667k
HERITAGE COMMERCE CORP (426927109) 211,862 $2,595k
INVESTAR HLDG CORP (46134L105) 105,547 $2,517k
ALLIED MOTION TECHNOLOGIES ICO (019330109) 62,105 $2,354k
American Business Bank (02475L105) 69,178 $2,352k
ELOXX PHARMACEUTICALS INC (29014R103) 200,000 $1,994k
ENOVA INTERNATIONAL INC (29357K103) 82,995 $1,913k
LIVE OAK BANCSHARES INC (53803X105) 107,636 $1,846k
KINSALE CAP GROUP INC (49714P108) 18,353 $1,679k
BLUCORA INC (095229100) 52,702 $1,601k
MECHANICS BANK RICHMOND CA (583614102) 53 $1,518k
NMI HLDGS INC (629209305) 51,270 $1,456k
JAMES RIV GROUP LTD (G5005R107) 30,648 $1,437k
KINGSTONE COS INC (496719105) 151,397 $1,310k
Callon Petroleum Co (13123X102) 170,153 $1,121k
Centric Financial Corporation (15641J101) 97,000 $980k
FIRST BANCORP PUERTO RICO (318672706) 87,222 $963k
GROCERY OUTLET HLDG CORP COM (39874R101) 22,210 $730k
MICROSOFT CORP (594918104) 4,677 $627k
Amazon.com Inc (023135106) 317 $600k
Community Heritage Financial Inc. (20370L103) 26,842 $561k
Apple Inc (037833100) 2,313 $458k
CAPITAL BANCORP INC MD (139737100) 34,596 $426k
ALPHABET INC (02079K305) 334 $362k
OSI SYSTEMS INC (671044105) 2,395 $270k
MALIBU BOATS INC (56117J100) 6,602 $256k
AMERANT BANCORP INC-CL B (023576200) 14,727 $211k
CPI CARD GROUP INC (12634H200) 34,921 $90k

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