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Adviser
Type
Submitted
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
08/15/2022
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker03209R103 Stock NameAmphastar Pharmaceutcials Inc. $ Position$3.4 m % Position5.68 % $ Change-38.64 % # Shares97,760 # Change-36.69 %
Stock Ticker00108J109 Stock NameACM Research Inc. $ Position$3.0 m % Position5.01 % $ Change-55.81 % # Shares178,368 # Change-45.68 %
Stock TickerM85548101 Stock NameStratasys Ltd. $ Position$2.9 m % Position4.91 % $ Change-60.52 % # Shares156,867 # Change-46.51 %
Stock Ticker501270102 Stock NameKura Sushi USA Inc. $ Position$2.8 m % Position4.73 % $ Change-10.20 % # Shares57,237 # Change0.00 %
Stock Ticker23331S100 Stock NameDHI Group Inc. $ Position$2.4 m % Position4.01 % $ Change-24.81 % # Shares482,884 # Change-9.99 %
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
05/12/2022
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock TickerM85548101 Stock NameStratasys Ltd. $ Position$7.4 m % Position3.97 % $ Change-3.11 % # Shares293,246 # Change-6.55 %
Stock Ticker00108J109 Stock NameACM Research Inc. $ Position$6.8 m % Position3.63 % $ Change17.12 % # Shares328,350 # Change382.67 %
Stock Ticker53261M104 Stock NameLimelight Networks Inc. $ Position$6.4 m % Position3.41 % $ ChangeN / A # Shares1,224,623 # ChangeN / A
Stock Ticker03209R103 Stock NameAmphastar Pharmaceutcials Inc. $ Position$5.5 m % Position2.96 % $ ChangeN / A # Shares154,415 # ChangeN / A
Stock Ticker23753F107 Stock NameDaseke Inc. $ Position$5.5 m % Position2.94 % $ Change-6.81 % # Shares547,345 # Change-7.10 %
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
02/11/2022
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker88830R101 Stock NameTitan Machinery Inc. $ Position$7.7 m % Position3.01 % $ Change86.35 % # Shares228,166 # Change43.33 %
Stock TickerM85548101 Stock NameStratasys Ltd. $ Position$7.7 m % Position3.00 % $ Change85.94 % # Shares313,786 # Change63.39 %
Stock Ticker45170X205 Stock NameIdentiv Inc. $ Position$7.5 m % Position2.91 % $ Change49.36 % # Shares264,731 # Change0.00 %
Stock Ticker442487401 Stock NameHovnanian Enterprises Inc. $ Position$6.7 m % Position2.64 % $ Change1.90 % # Shares52,992 # Change-22.83 %
Stock Ticker229050307 Stock NameCryoport Inc. $ Position$6.2 m % Position2.43 % $ Change-15.81 % # Shares105,044 # Change-5.36 %
Adviser HR - FRIESS ASSOCIATES LLC Type 13F-HR Submitted
11/12/2021
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker00108J109 Stock NameACM Research Inc. $ Position$7.8 m % Position3.28 % $ Change33.75 % # Shares70,969 # Change24.29 %
Stock Ticker83545G102 Stock NameSonic Automotive Inc. CL A $ Position$7.7 m % Position3.22 % $ ChangeN / A # Shares145,690 # ChangeN / A
Stock Ticker229050307 Stock NameCryoport Inc. $ Position$7.4 m % Position3.11 % $ Change-2.23 % # Shares110,998 # Change-7.24 %
Stock Ticker72942A107 Stock NamePLx Pharma Inc. $ Position$7.3 m % Position3.06 % $ Change45.13 % # Shares376,558 # Change3.76 %
Stock Ticker097793400 Stock NameBonanza Creek Energy Inc. $ Position$6.8 m % Position2.86 % $ Change8.97 % # Shares141,754 # Change7.08 %
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
08/11/2021
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker39986L109 Stock NameGrowGeneration Corp. $ Position$9.1 m % Position3.45 % $ Change-25.01 % # Shares190,140 # Change-22.53 %
Stock Ticker04537Y109 Stock NameAspira Women's Health Inc. $ Position$8.1 m % Position3.06 % $ Change-12.67 % # Shares1,442,843 # Change4.88 %
Stock Ticker55955D100 Stock NameMagnite Inc. $ Position$7.9 m % Position2.98 % $ Change22.58 % # Shares233,613 # Change50.73 %
Stock Ticker442487401 Stock NameHovnanian Enterprises Inc. $ Position$7.9 m % Position2.98 % $ ChangeN / A # Shares74,275 # ChangeN / A
Stock Ticker497498105 Stock NameKirkland's Inc. $ Position$7.9 m % Position2.97 % $ Change-28.44 % # Shares344,471 # Change-12.11 %
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
05/14/2021
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker92919V108 Stock NameVoyager Digital Ltd. $ Position$13.9 m % Position5.40 % $ ChangeN / A # Shares533,796 # ChangeN / A
Stock Ticker39986L109 Stock NameGrowGeneration Corp. $ Position$12.2 m % Position4.74 % $ Change-72.53 % # Shares245,444 # Change-77.77 %
Stock Ticker497498105 Stock NameKirkland's Inc. $ Position$11.0 m % Position4.28 % $ Change59.59 % # Shares391,917 # Change1.55 %
Stock Ticker04537Y109 Stock NameAspira Women's Health Inc. $ Position$9.3 m % Position3.61 % $ Change25.74 % # Shares1,375,724 # Change24.99 %
Stock TickerG4740B105 Stock NameIchor Holdings Ltd. $ Position$7.3 m % Position2.83 % $ Change256.06 % # Shares135,415 # Change99.54 %
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
02/12/2021
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker023135106 Stock NameAmazon.com Inc. $ Position$51.9 m % Position3.83 % $ Change2.29 % # Shares15,940 # Change-1.11 %
Stock Ticker875372203 Stock NameTandem Diabetes Care Inc. $ Position$44.8 m % Position3.30 % $ Change-3.97 % # Shares467,861 # Change13.91 %
Stock Ticker39986L109 Stock NameGrowGeneration Corp. $ Position$44.4 m % Position3.28 % $ Change181.79 % # Shares1,103,981 # Change11.96 %
Stock Ticker368736104 Stock NameGenerac Holdings Inc. $ Position$34.7 m % Position2.56 % $ Change38.71 % # Shares152,652 # Change18.11 %
Stock Ticker30303M102 Stock NameFacebook Inc. $ Position$31.8 m % Position2.35 % $ Change4.93 % # Shares116,388 # Change0.60 %
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
11/13/2020
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker023135106 Stock NameAmazon.com Inc. $ Position$50.8 m % Position4.40 % $ Change-5.93 % # Shares16,119 # Change-17.58 %
Stock Ticker875372203 Stock NameTandem Diabetes Care Inc. $ Position$46.6 m % Position4.04 % $ Change10.94 % # Shares410,712 # Change-3.31 %
Stock Ticker30303M102 Stock NameFacebook Inc. $ Position$30.3 m % Position2.63 % $ ChangeN / A # Shares115,691 # ChangeN / A
Stock Ticker00724F101 Stock NameAdobe Inc. $ Position$27.2 m % Position2.36 % $ Change12.66 % # Shares55,434 # Change0.00 %
Stock Ticker79466L302 Stock NameSalesforce.com Inc. $ Position$26.3 m % Position2.28 % $ Change29.34 % # Shares104,625 # Change-3.59 %
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
08/14/2020
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker023135106 Stock NameAmazon.com Inc. $ Position$54.0 m % Position5.03 % $ Change55.55 % # Shares19,557 # Change9.93 %
Stock Ticker875372203 Stock NameTandem Diabetes Care Inc. $ Position$42.0 m % Position3.92 % $ Change12.90 % # Shares424,767 # Change-26.56 %
Stock Ticker594918104 Stock NameMicrosoft Corp. $ Position$41.2 m % Position3.84 % $ Change86.57 % # Shares202,410 # Change44.58 %
Stock Ticker037833100 Stock NameApple Inc. $ Position$35.0 m % Position3.27 % $ Change37.72 % # Shares96,000 # Change-4.00 %
Stock Ticker256746108 Stock NameDollar Tree Inc. $ Position$31.9 m % Position2.97 % $ ChangeN / A # Shares343,676 # ChangeN / A
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
05/15/2020
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker875372203 Stock NameTandem Diabetes Care Inc. $ Position$37.2 m % Position3.71 % $ Change-0.46 % # Shares578,359 # Change-7.79 %
Stock Ticker023135106 Stock NameAmazon.com Inc. $ Position$34.7 m % Position3.46 % $ Change11.90 % # Shares17,791 # Change6.05 %
Stock Ticker67066G104 Stock NameNVIDIA Corp. $ Position$28.4 m % Position2.84 % $ ChangeN / A # Shares107,870 # ChangeN / A
Stock Ticker37940X102 Stock NameGlobal Payments Inc. $ Position$27.7 m % Position2.76 % $ Change-26.65 % # Shares192,127 # Change-7.15 %
Stock Ticker037833100 Stock NameApple Inc. $ Position$25.4 m % Position2.54 % $ ChangeN / A # Shares100,000 # ChangeN / A
Adviser FRIESS ASSOCIATES LLC Type 13F-HR Submitted
02/14/2020
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker37940X102 Stock NameGlobal Payments Inc. $ Position$37.8 m % Position2.63 % $ ChangeN / A # Shares206,932 # ChangeN / A
Stock Ticker007903107 Stock NameAdvanced Micro Devices Inc. $ Position$37.5 m % Position2.61 % $ ChangeN / A # Shares817,333 # ChangeN / A
Stock Ticker875372203 Stock NameTandem Diabetes Care Inc. $ Position$37.4 m % Position2.60 % $ ChangeN / A # Shares627,225 # ChangeN / A
Stock Ticker254687106 Stock NameThe Walt Disney Co. $ Position$34.3 m % Position2.39 % $ ChangeN / A # Shares237,388 # ChangeN / A
Stock Ticker30063P105 Stock NameExact Sciences Corp. $ Position$33.3 m % Position2.32 % $ ChangeN / A # Shares360,100 # ChangeN / A