Fund Universe

Champlain Investment Partners, LLC

CIK 0001315478 · holdings for 2026Q2 (change vs 2026Q1) · in signal universe
Quality Q
0.213
AUM ($M)
3,892
Positions
129
Turnover
0.24
Top-10 wt
18%
Herfindahl
0.010
History (qtrs)
6
Excess Return
-18.4%

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Quarter
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Security type

Holdings · 137 positions · portfolio value $3,892M

TickerNameActivitySecurity Type WeightΔ Weight Value ($M)SharesΔ Shares Qtrs HeldExcess Return
CUSIP:67059N108 funds › NUTANIX INC TRIM 2.7% +0.7% 103.7 2,034,277 -1,975,878 5
P funds › EVERPURE INC TRIM 2.3% +0.8% 90.1 1,143,316 -937,446 5
ESAB funds › ESAB CORPORATION TRIM 1.9% +0.3% 74.6 756,078 -548,756 5
PEN funds › PENUMBRA INC TRIM 1.8% -0.3% 69.2 219,032 -272,350 5
WH funds › WYNDHAM HOTELS & RESORTS INC TRIM 1.5% +0.1% 59.9 711,343 -666,554 5 -37.4%
SFM funds › SPROUTS FMRS MKT INC TRIM 1.5% +0.4% 59.1 698,367 -483,263 3 -24.6%
CFR funds › CULLEN FROST BANKERS INC TRIM 1.5% +0.0% 58.7 379,610 -475,580 5
OKTA funds › OKTA INC TRIM 1.4% +0.1% 56.4 412,985 -927,550 5
CBSH funds › COMMERCE BANCSHARES INC TRIM 1.4% +0.0% 56.1 971,864 -1,293,439 3 +11.0%
MSA funds › MSA SAFETY INC TRIM 1.4% +0.1% 55.9 320,243 -321,636 5
CAVA funds › CAVA GROUP INC TRIM 1.4% -0.0% 55.0 701,117 -696,264 5
SNPS funds › SYNOPSYS INC TRIM 1.4% -0.5% 54.1 121,225 -263,590 5
FND funds › FLOOR & DECOR HLDGS INC TRIM 1.4% -0.1% 53.6 903,527 -1,370,137 3 -20.2%
NOVT funds › NOVANTA INC TRIM 1.4% +0.8% 52.9 326,007 -66,110 5
CVLT funds › COMMVAULT SYS INC TRIM 1.2% +0.9% 48.4 341,569 -49,807 5
CUSIP:78473E103 funds › SPX TECHNOLOGIES INC TRIM 1.2% +0.6% 47.6 194,289 -35,343 5
EOG funds › EOG RES INC TRIM 1.2% -0.7% 46.7 360,035 -699,595 2 +16.1%
AAON funds › AAON INC TRIM Common Stock 1.2% -0.5% 45.9 361,641 -1,240,365 5 -39.6%
CUSIP:829073105 funds › SIMPSON MFG INC TRIM 1.2% +0.6% 45.0 214,765 -39,760 5
TPL funds › TEXAS PACIFIC LAND CORPORATI TRIM 1.1% -0.4% 43.6 99,600 -153,362 2 -61.1%
RGEN funds › REPLIGEN CORP TRIM 1.1% +0.1% 43.5 318,955 -374,900 5
TW funds › TRADEWEB MKTS INC TRIM 1.1% -1.1% 43.3 434,812 -1,034,674 5
VEEV funds › VEEVA SYS INC TRIM 1.1% -0.5% 43.3 244,074 -494,375 5
FAST funds › FASTENAL CO TRIM 1.1% -0.6% 42.8 891,285 -2,009,928 5
WING funds › WINGSTOP INC TRIM 1.1% +0.0% 42.6 245,379 -299,036 5
IEX funds › IDEX CORP TRIM 1.0% -0.5% 40.5 178,539 -461,735 5
RMBS funds › RAMBUS INC DEL TRIM 1.0% +0.6% 39.7 299,368 -57,855 2 -33.7%
CSW funds › CSW INDUSTRIALS INC TRIM 1.0% +0.5% 38.5 138,500 -24,221 5
GKOS funds › GLAUKOS CORP TRIM 1.0% +0.6% 38.5 275,171 -43,856 5 +44.4%
CRDO funds › CREDO TECHNOLOGY GROUP HOLDI TRIM 1.0% +0.4% 38.3 141,003 -319,699 2 +319.0%
GWW funds › WW GRAINGER INC TRIM 1.0% -0.4% 37.9 27,848 -70,781 5
SKWD funds › SKYWARD SPECIALTY INS GROUP TRIM 1.0% +0.5% 37.7 645,526 -119,385 5
MTDR funds › MATADOR RES CO TRIM 0.9% +0.4% 37.0 742,683 -2,122 2 +3.6%
RBRK funds › RUBRIK INC. TRIM 0.9% +0.2% 36.6 456,286 -803,639 2 +246.1%
TOST funds › TOAST INC TRIM 0.9% -0.1% 36.6 1,313,974 -1,754,127 5
PANW funds › PALO ALTO NETWORKS INC TRIM 0.9% +0.2% 36.4 106,814 -267,876 5
RBA funds › RB GLOBAL INC TRIM 0.9% +0.5% 36.3 311,819 -57,399 5
CSL funds › CARLISLE COS INC TRIM 0.9% -0.4% 36.3 99,985 -216,990 4 -23.9%
AXON funds › AXON ENTERPRISE INC TRIM 0.9% -0.1% 36.2 64,605 -126,675 5
ACGL funds › ARCH CAP GROUP LTD TRIM 0.9% -0.6% 36.0 370,745 -891,540 5
KNSL funds › KINSALE CAP GROUP INC TRIM 0.9% -0.0% 35.3 106,995 -107,820 5
PLMR funds › PALOMAR HLDGS INC TRIM 0.9% +0.4% 34.4 272,480 -54,468 5
FFIN funds › FIRST FINL BANKSHARES INC TRIM 0.9% +0.4% 33.8 976,430 -196,745 5
KAI funds › KADANT INC TRIM 0.9% +0.4% 33.7 107,316 -21,765 5
VCEL funds › VERICEL CORP TRIM 0.9% +0.5% 33.6 755,828 -59,345 5
AME funds › AMETEK INC TRIM 0.9% -0.3% 33.5 138,498 -286,860 5
WHD funds › CACTUS INC TRIM 0.8% +0.4% 32.5 633,419 -13,070 2 +37.7%
VVV funds › VALVOLINE INC TRIM 0.8% +0.4% 32.3 817,494 -187,702 5
EAT funds › BRINKER INTL INC ADD 0.8% +0.5% 31.8 189,256 +29,554 3 +123.7%
CELH funds › CELSIUS HLDGS INC TRIM 0.8% -0.3% 31.7 1,083,689 -1,290,991 5
WAT funds › WATERS CORP TRIM 0.8% -0.2% 31.7 84,440 -195,400 5
SXI funds › STANDEX INTL CORP TRIM 0.8% +0.3% 31.5 88,037 -80,426 5
RAL funds › RALLIANT CORP TRIM 0.8% +0.5% 31.5 427,551 -191,351 3 +58.0% re-entry
EW funds › EDWARDS LIFESCIENCES CORP TRIM 0.8% -0.2% 31.4 346,640 -686,857 5
COO funds › COOPER COS INC TRIM 0.8% -0.7% 30.9 431,025 -1,177,065 5
TECH funds › BIO-TECHNE CORP TRIM 0.8% -0.2% 30.7 434,731 -1,019,440 5
SITM funds › SITIME CORP ADD 0.8% +0.6% 29.4 39,433 +5,861 2 +172.5%
RYAN funds › RYAN SPECIALTY HOLDINGS INC TRIM 0.8% -0.2% 29.4 777,857 -1,491,850 5
WCN funds › WASTE CONNECTIONS INC TRIM 0.7% -0.4% 28.2 169,105 -387,880 3 -26.1%
HLI funds › HOULIHAN LOKEY INC TRIM 0.7% -0.6% 28.2 209,983 -507,741 5
SNEX funds › STONEX GROUP INC TRIM 0.7% +0.2% 28.1 236,759 -292,293 5
MMSI funds › MERIT MED SYS INC ADD 0.7% +0.5% 28.0 403,922 +113,422 3 -16.6%
PJT funds › PJT PARTNERS INC TRIM 0.7% +0.3% 27.6 183,009 -32,232 5
SXT funds › SENSIENT TECHNOLOGIES CORP TRIM 0.7% +0.4% 27.4 222,369 -38,425 5
MTD funds › METTLER TOLEDO INTERNATIONAL TRIM 0.7% -0.4% 26.9 21,081 -49,125 5
ATRC funds › ATRICURE INC TRIM 0.7% +0.3% 26.3 938,567 -32,544 5
KRMN funds › KARMAN HLDGS INC TRIM 0.7% -0.2% 26.0 520,814 -310,016 3 -15.8%
EPAC funds › ENERPAC TOOL GROUP CORP TRIM 0.7% +0.3% 25.8 718,711 -69,660 5
MDB funds › MONGODB INC TRIM 0.7% -0.0% 25.7 76,575 -146,489 5
MSCI funds › MSCI INC TRIM 0.7% -0.4% 25.4 45,409 -106,825 5
XYL funds › XYLEM INC TRIM 0.6% -0.5% 25.2 212,810 -518,870 5
CBC funds › CENTRAL BANCOMPANY TRIM 0.6% +0.2% 25.0 822,018 -576,037 3 +33.6%
GABC funds › GERMAN AMERN BANCORP INC TRIM 0.6% +0.3% 24.7 520,662 -105,785 5
BANF funds › BANCFIRST CORP TRIM 0.6% +0.3% 24.7 222,347 -1,028 5
LPLA funds › LPL FINL HLDGS INC TRIM 0.6% +0.2% 24.3 86,115 -14,935 2 +2.6%
S funds › SENTINELONE INC TRIM 0.6% +0.2% 24.1 1,421,491 -1,017,491 5
A funds › AGILENT TECHNOLOGIES INC TRIM 0.6% -0.3% 23.5 177,146 -432,900 5
RLI funds › RLI CORP TRIM 0.6% +0.3% 23.1 391,712 -72,695 5
STE funds › STERIS PLC TRIM 0.6% -0.2% 23.0 109,230 -175,045 5
GMED funds › GLOBUS MED INC TRIM 0.6% +0.2% 23.0 290,878 -59,175 5
BWIN funds › THE BALDWIN INSURANCE GRP IN TRIM 0.6% +0.3% 22.9 863,038 -171,222 5
BE funds › BLOOM ENERGY CORP TRIM 0.6% -0.2% 22.4 74,021 -350,636 2 +124.9% re-entry
PRCT funds › PROCEPT BIOROBOTICS CORP TRIM 0.6% +0.2% 22.2 981,381 -154,941 5
ELF funds › E L F BEAUTY INC TRIM 0.6% -0.4% 22.1 298,368 -994,527 5
ZS funds › ZSCALER INC TRIM 0.6% -0.2% 22.0 155,869 -283,060 5
CHWY funds › CHEWY INC TRIM 0.6% -0.4% 21.9 1,114,540 -1,635,764 4 -66.8%
HTFL funds › HEARTFLOW INC ADD 0.6% +0.4% 21.5 733,607 +166,183 2 +237.5%
BRKR funds › BRUKER CORP TRIM 0.6% +0.3% 21.4 355,746 -249,369 5 +16.6%
TER funds › TERADYNE INC NEW 0.5% +0.5% 21.0 43,474 +43,474 1 +177.6%
AKAM funds › AKAMAI TECHNOLOGIES INC TRIM 0.5% -1.1% 20.9 177,015 -948,325 5
VLTO funds › VERALTO CORP TRIM 0.5% -0.3% 20.8 234,979 -473,635 5
SYBT funds › STOCK YDS BANCORP INC TRIM 0.5% +0.3% 20.7 270,586 -51,726 5
NDSN funds › NORDSON CORP TRIM 0.5% -0.4% 20.5 67,914 -207,190 5
AVAV funds › AEROVIRONMENT INC TRIM 0.5% -0.2% 20.2 122,616 -172,461 2 -78.7%
EQT funds › EQT CORP NEW 0.5% +0.5% 19.8 371,955 +371,955 1 -43.4%
DDOG funds › DATADOG INC TRIM 0.5% -0.6% 19.6 75,304 -628,199 5
BRO funds › BROWN & BROWN INC TRIM 0.5% -0.3% 19.0 295,680 -672,594 3 -40.3%
CAI funds › CARIS LIFE SCIENCES INC TRIM 0.5% +0.2% 18.7 1,048,862 -159,101 3 -35.2%
OSW funds › ONESPAWORLD HOLDINGS LIMITED TRIM 0.5% +0.3% 18.4 651,970 -93,655 5
SOLS funds › SOLSTICE ADVANCED MATLS INC TRIM 0.5% +0.2% 18.3 206,786 -49,276 2 -72.1%
CUSIP:75524B104 funds › RBC BEARINGS INC TRIM 0.5% +0.2% 18.3 28,428 -6,551 5
JBTM funds › JBT MAREL CORPORATION TRIM 0.5% +0.2% 18.2 125,799 -25,751 5
WTS funds › WATTS WATER TECHNOLOGIES INC TRIM 0.5% +0.3% 18.2 46,417 -8,415 5
DXCM funds › DEXCOM INC NEW 0.5% +0.5% 18.1 269,217 +269,217 1 +255.1% re-entry
LECO funds › LINCOLN ELEC HLDGS INC TRIM 0.4% -0.2% 17.4 65,679 -152,725 5
NVT funds › NVENT ELEC PLC TRIM 0.4% +0.0% 17.4 102,477 -187,870 5
NIC funds › NICOLET BANKSHARES INC TRIM 0.4% +0.2% 17.2 103,783 -21,729 2 -0.5%
GGG funds › GRACO INC TRIM 0.4% -0.4% 17.0 224,252 -530,830 5
SNOW funds › SNOWFLAKE INC NEW 0.4% +0.4% 16.7 65,510 +65,510 1 +1661.6%
ALKT funds › ALKAMI TECHNOLOGY INC TRIM 0.4% +0.1% 16.1 889,660 -712,906 5
TRNS funds › TRANSCAT INC TRIM 0.4% +0.2% 15.9 171,266 -33,178 5
PLNT funds › PLANET FITNESS MASTER ISSUER TRIM 0.4% +0.0% 15.6 298,541 -103,805 5
MKTX funds › MARKETAXESS HLDGS INC TRIM 0.4% -0.0% 15.4 136,087 -73,989 3 -31.1%
ADSK funds › AUTODESK INC TRIM 0.4% -0.6% 14.9 76,495 -258,435 5
BRZE funds › BRAZE INC TRIM 0.4% -0.0% 14.7 679,048 -643,879 5
SIBN funds › SI BONE INC ADD 0.4% +0.2% 14.6 896,462 +18,857 5
GTLB funds › GITLAB INC TRIM 0.3% -0.7% 12.3 403,802 -3,406,436 5
KTOS funds › KRATOS DEFENSE & SEC SOLUTIO ADD 0.3% +0.1% 11.7 233,780 +13,378 2 -83.1%
TSCO funds › TRACTOR SUPPLY CO TRIM 0.3% -0.9% 11.6 368,274 -1,643,610 2 -85.0%
IRTC funds › IRHYTHM HOLDINGS INC NEW 0.3% +0.3% 11.5 97,015 +97,015 1 +47.8% re-entry
VCYT funds › VERACYTE INC TRIM 0.3% +0.2% 10.4 177,930 -103,993 4 +14.6%
BRC funds › BRADY CORP TRIM 0.3% +0.1% 10.3 112,146 -21,122 5
FWRG funds › FIRST WATCH RESTAURANT GROUP TRIM 0.2% +0.1% 9.6 745,333 -19,598 5
SHAK funds › SHAKE SHACK INC TRIM 0.2% +0.0% 8.3 147,347 -23,636 5
DPZ funds › DOMINOS PIZZA INC TRIM 0.2% -1.1% 7.7 26,035 -259,379 5
MOD funds › MODINE MFG CO TRIM 0.2% -0.1% 7.2 26,945 -88,880 5
CUSIP:533714101 funds › LINCOLN INTL INC NEW 0.2% +0.2% 6.7 279,964 +279,964 1
NTRA funds › NATERA INC NEW 0.2% +0.2% 6.5 23,830 +23,830 1 +597.0%
NOW funds › SERVICENOW INC ADD 0.0% +0.0% 0.4 3,635 +785 5 -59.3%
AMSF funds › AMERISAFE INC EXIT 0.0% -0.2% 0.0 0 -377,823 0
INSP funds › INSPIRE MED SYS INC EXIT 0.0% -0.1% 0.0 0 -158,989 0
HLNE funds › HAMILTON LANE INC EXIT 0.0% -1.4% 0.0 0 -1,087,227 0
PCOR funds › PROCORE TECHNOLOGIES INC EXIT 0.0% -1.1% 0.0 0 -1,469,355 0
ALAB funds › ASTERA LABS INC EXIT 0.0% -0.5% 0.0 0 -327,619 0 +814.1%
WST funds › WEST PHARMACEUTICAL SVSC INC EXIT 0.0% -0.7% 0.0 0 -205,979 0
CUSIP:574795100 funds › MASIMO CORP EXIT 0.0% -0.3% 0.0 0 -141,284 0
IWR funds › ISHARES TR EXIT 0.0% -0.0% 0.0 0 -35,300 0 -29.6%

Point-in-time history

Each row is this fund as of that period, not as of today — what the scoring for that quarter actually saw.
PeriodAUM ($M)Positions TurnoverTop-10 wtHerfindahl Quality Q Skill Universe
2026Q2 3,892 129 0.24 18% 0.010 0.211 in
2026Q1 7,880 130 0.23 18% 0.011 0.366 in
2025Q4 9,877 128 0.18 17% 0.011 0.408 in
2025Q3 13,261 135 0.11 18% 0.010 0.636 in
2025Q2 14,325 135 0.13 18% 0.010 0.646 entered
2025Q1 13,806 139 0.00 17% 0.010 0.000 out
Long US-equity 13F disclosures only · up to 45-day reporting lag · sells = reduce/avoid, not short. JSON: /api/signals · /api/funds · /api/status