Conestoga Capital Advisors, LLC

Holdings as of 2026-06-30, filed 2026-07-24

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 24 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
109
Value reported by manager
$4.6B
Sum of our stored positions
$4.6B
should match the line above
Disclosure lag
24 d
quarter end to filing
Top 5 concentration
21.8%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

109 largest shown
IssuerClassValueSharesTypeCUSIP
CASELLA WASTE SYS INCCL A$226.5M2,336,156—147448104
RBC BEARINGS INCCOM$210.9M327,489—75524B104
NOVANTA INCCOM$197.6M1,217,963—67000B104
BALCHEM CORPCOM$183.8M1,087,871—057665200
MERCURY SYS INCCOM$181.9M1,487,191—589378108
FIRSTSERVICE CORP NEWCOM$172.9M1,216,997—33767E202
DIGI INTL INCCOM$163.2M2,177,359—253798102
CONSTRUCTION PARTNERS INCCOM CL A$161.4M1,358,962—21044C107
ESCO TECHNOLOGIES INCCOM$156.5M447,077—296315104
MERIT MED SYS INCCOM$137.3M1,979,790—589889104
SPX TECHNOLOGIES INCCOM$134.2M547,175—78473E103
REPLIGEN CORPCOM$133.8M980,983—759916109
CSW INDUSTRIALS INCCOM$131.3M471,727—126402106
LEMAITRE VASCULAR INCCOM$131.2M1,367,513—525558201
DESCARTES SYS GROUP INCCOM$129.1M1,864,851—249906108
AAON INCCOM PAR $0.004$128.9M1,015,825—000360206
STEVANATO GROUP S P AORD SHS$126.6M7,007,613—T9224W109
SITEONE LANDSCAPE SUPPLY INCCOM$109.9M960,286—82982L103
MSA SAFETY INCCOM$96.8M554,574—553498106
HELIOS TECHNOLOGIES INCCOM$96.8M1,084,345—42328H109
VERICEL CORPCOM$92.7M2,083,832—92346J108
FEDERAL SIGNAL CORPCOM$92.1M716,591—313855108
UL SOLUTIONS INCCLASS A COM SHS$83.5M819,373—903731107
SIMPSON MFG INCCOM$79M377,341—829073105
EXPONENT INCCOM$74.4M1,265,704—30214U102
Q2 HLDGS INCCOM$67M1,393,275—74736L109
UNIVERSAL TECHNICAL INST INCCOM$50.5M1,181,460—913915104
AGILYSYS INCCOM$49.8M476,554—00847J105
KODIAK GAS SVCS INCCOM$48.5M646,145—50012A108
KADANT INCCOM$47.2M150,265—48282T104
LEGENCE CORPCL A$43.2M506,578—52476L109
TRANSCAT INCCOM$41.7M449,557—893529107
ROLLINS INCCOM$41.4M991,591—775711104
WEST PHARMACEUTICAL SVSC INCCOM$40M111,294—955306105
KARMAN HLDGS INCCOMMON STOCK$39.9M798,496—485924104
KNOWLES CORPCOM$38.7M932,049—49926D109
ARTIVION INCCOM$36.5M1,623,700—228903100
HEICO CORP NEWCL A$34.8M134,747—422806208
NCINO INCCOM$34.7M2,120,465—63947X101
WATSCO INCCOM$33.7M80,975—942622200
BRIGHT HORIZONS FAM SOL IN DCOM$31.5M444,997—109194100
WD 40 COCOM$30.7M126,199—929236107
ENPRO INCCOM$29.9M79,390—29355X107
HENRY JACK & ASSOC INCCOM$27.7M200,836—426281101
GUIDEWIRE SOFTWARE INCCOM$27.6M224,372—40171V100
TYLER TECHNOLOGIES INCCOM$27.5M94,018—902252105
GRACO INCCOM$26.4M349,644—384109104
MATADOR RES COCOM$25.1M503,990—576485205
MAGNOLIA OIL & GAS CORPCL A$23.9M935,605—559663109
JBT MAREL CORPORATIONCOM$23.2M159,760—477839104
WORKIVA INCCOM CL A$22.7M467,432—98139A105
MIRION TECHNOLOGIES INCCOM CL A$22.4M1,248,061—60471A101
BIO-TECHNE CORPCOM$21M297,830—09073M104
POOL CORPCOM$19.3M90,032—73278L105
PERIMETER SOLUTIONS INCCOMMON STOCK$19.1M535,965—71385M107
LCI INDSCOM$18.2M171,743—50189K103
PROCORE TECHNOLOGIES INCCOM$13.9M341,338—74275K108
CACI INTL INCCL A$13.4M28,950—127190304
EVI INDS INCCOM$9.9M668,316—26929N102
PERMIAN RESOURCES CORPCLASS A COM$9M491,265—71424F105
FORGENT POWER SOLUTIONS INCCOM SHS CL A$8.3M148,895—34631F102
DT MIDSTREAM INCCOMMON STOCK$7.3M49,860—23345M107
TWIST BIOSCIENCE CORPCOM$4.4M43,040—90184D100
MAMAS CREATIONS INCCOM$4.1M228,160—56146T103
ELECTROVAYA INCCOM NEW$3.4M328,100—28617B606
BIOLIFE SOLUTIONS INCCOM NEW$3.4M121,652—09062W204
PALOMAR HLDGS INCCOM$3.3M25,960—69753M105
GRAHAM CORPCOM$2.6M21,240—384556106
CRYOPORT INCCOM PAR $0.001$2.5M158,674—229050307
VITA COCO CO INCCOM$2.4M36,950—92846Q107
WILLDAN GROUP INCCOM$2.2M27,607—96924N100
HILLMAN SOLUTIONS CORPCOM$2.1M244,070—431636109
IRADIMED CORPCOM$2M21,085—46266A109
ONTERRIS INCCOM$2M96,555—615111101
BOWMAN CONSULTING GROUP LTDCOM$1.9M66,300—103002101
PARK AEROSPACE CORPCOM$1.9M49,485—70014A104
ALPHA TEKNOVA INCCOM$1.8M314,554—02080L102
CLIMB GLOBAL SOLUTIONS INCCOM$1.7M72,070—946760105
ODDITY TECH LTDSHS CL A$1.5M97,620—M7518J104
TECSYS INC COMCOM$1.5M66,305—878950104
NPK INTERNATIONAL INCCOM SHS$1.4M88,825—651718504
ORTHOPEDIATRICS CORPCOM$1.2M64,535—68752L100
ALPHABET INCCAP STK CL A$1M2,915—02079K305
MICROSOFT CORPCOM$880K2,359—594918104
COSTCO WHOLESALE CORPORATIONCOM$874.7K935—22160K105
FASTENAL COCOM$798.7K16,630—311900104
ALPHABET INCCAP STK CL C$759.7K2,150—02079K107
S&P GLOBAL INCCOM$619.4K1,521—78409V104
BERKSHIRE HATHAWAY INC DELCL B NEW$605.5K1,210—084670702
LINDE PLCSHS$542.3K1,045—G54950103
MASTERCARD INCORPORATEDCL A$511K995—57636Q104
VERISK ANALYTICS INCCOM$484.9K2,701—92345Y106
JOHNSON & JOHNSONCOM$472.4K1,860—478160104
APPLE INCCOM$377.6K1,305—037833100
FORTINET INCCOM$359.5K2,340—34959E109
WASTE CONNECTIONS INCCOM$355.1K2,130—94106B101
EXXON MOBIL CORPCOM$306.8K2,244—30231G102
NVIDIA CORPORATIONCOM$306.1K1,530—67066G104
MARKEL GROUP INCCOM$283.2K145—570535104
IDEXX LABS INCCOM$273.7K520—45168D104
XYLEM INCCOM$247.1K2,090—98419M100
ILLINOIS TOOL WKS INCCOM$246.1K910—452308109
DANAHER CORP DELCOM$236.2K1,240—235851102
HOME DEPOT INCCOM$229.2K650—437076102
GENERAC HLDGS INCCOM$224K765—368736104
INTUITCOM$223.2K855—461202103
AXON ENTERPRISE INCCOM$221.4K395—05464C101
ROPER TECHNOLOGIES INCCOM$208.1K615—776696106
SMUCKER J M COCOM NEW$200.3K1,780—832696405
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-24

Conestoga Capital Advisors, LLC — 109 positions reported for 2026Q2 — investment.com