Live Markets
Wednesday, July 29, 2026·George Town, KY·29°·Partly Cloudy
Markets Open · NYSE·Newsletter·Masthead·
VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

RIVERBRIDGE PARTNERS LLC

Quarter ended Q2 2023 · Filed April 21, 2023 · Accession 0001112325-23-000006

Total Value
$7.13B
Positions
189
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (189)

#IssuerTicker / CUSIPSharesValue% of Filing
1Five Below, Inc.FIVE1,369,976$282.2M3.96%
2Ritchie Bros. Auctioneers, Inc7677441053,985,212$224.3M3.14%
3Globant S.A.GLOB1,346,961$220.9M3.10%
4Grand Canyon Education, Inc.LOPE1,871,192$213.1M2.99%
5Workiva, Inc.WK2,010,974$205.9M2.89%
6Microsoft CorporationMSFT688,081$198.4M2.78%
7HEICO CorporationHEI-A1,153,296$197.3M2.77%
8West Pharmaceutical Services, 955306105540,890$187.4M2.63%
9Fastenal CompanyFAST3,215,662$173.5M2.43%
10CoStar Group, Inc.CSGP2,486,287$171.2M2.40%
11Ansys, Inc.03662Q105478,429$159.2M2.23%
12Tyler Technologies, Inc.TYL412,398$146.3M2.05%
13SPS Commerce, Inc.SPSC918,198$139.8M1.96%
14BlackLine, Inc.BL2,048,358$137.5M1.93%
15Ensign Group, Inc.ENSG1,404,599$134.2M1.88%
16Paylocity Holding Corp.PCTY664,123$132.0M1.85%
17Rollins, Inc.ROL3,399,849$127.6M1.79%
18Verisk Analytics, Inc.VRSK662,143$127.0M1.78%
19Paycom Software, Inc.PAYC398,668$121.2M1.70%
20Floor & Decor Holdings, Inc.FND1,217,611$119.6M1.68%
21Amedisys, Inc.0234361081,525,311$112.2M1.57%
22Exponent, Inc.EXPO1,028,687$102.5M1.44%
23Certara, Inc.CERT4,187,469$101.0M1.42%
24Analog Devices, Inc.ADI503,803$99.4M1.39%
25Alarm.com Holdings, Inc.ALRM1,864,429$93.7M1.31%
26Guidewire Software, Inc.GWRE1,090,587$89.5M1.25%
27NVIDIA CorporationNVDA316,586$87.9M1.23%
28Cognex CorporationCGNX1,760,002$87.2M1.22%
29Align Technology, Inc.ALGN255,681$85.4M1.20%
30UnitedHealth Group, Inc.UNH176,312$83.3M1.17%
31Medpace Holdings, Inc.MEDP440,695$82.9M1.16%
32Amazon.com, Inc.AMZN789,975$81.6M1.14%
33Veeva Systems, Inc.VEEV439,115$80.7M1.13%
34Danaher Corporation235851102316,872$79.9M1.12%
35Squarespace, Inc.85225A1072,301,229$73.1M1.02%
36Salesforce, Inc.CRM363,395$72.6M1.02%
37S&P Global, Inc.SPGI209,710$72.3M1.01%
38National Instruments Corporati6365181021,296,630$68.0M0.95%
39Progyny, Inc.PGNY2,028,971$65.2M0.91%
40Starbucks CorporationSBUX616,461$64.2M0.90%
41WillScot Mobile Mini Holdings WSC1,355,681$63.6M0.89%
42IDEXX Laboratories, Inc.45168D104124,967$62.5M0.88%
43Privia Health Group, Inc.PRVA2,259,240$62.4M0.87%
44Charles River Laboratories Int159864107298,994$60.3M0.85%
45Bio-Techne CorporationTECH812,714$60.3M0.85%
46ServiceNow, Inc.NOW128,600$59.8M0.84%
47Descartes Systems Group, Inc.249906108741,158$59.7M0.84%
48Kinsale Capital Group, Inc.49714P108198,384$59.5M0.83%
49Power Integrations, Inc.POWI684,108$57.9M0.81%
50Five9, Inc.FIVN775,364$56.1M0.79%
51Chemed CorporationCHE103,336$55.6M0.78%
52Freshpet, Inc.FRPT817,316$54.1M0.76%
53AMN Healthcare Services, Inc.001744101644,042$53.4M0.75%
54Neogen CorporationNEOG2,682,493$49.7M0.70%
55Kadant, Inc.KAI236,996$49.4M0.69%
56GoDaddy, Inc. Class AGDDY599,753$46.6M0.65%
57OrthoPediatrics Corp.KIDS1,042,453$46.2M0.65%
58Visa, Inc.V202,938$45.8M0.64%
59Model N, Inc.6075251021,364,212$45.7M0.64%
60Alphabet, Inc. Class AGOOG431,961$44.8M0.63%
61DoubleVerify Holdings IncDV1,415,439$42.7M0.60%
62Watsco, Inc.WSO-B131,586$41.9M0.59%
63Grid Dynamics Holdings, Inc.GDYN3,558,628$40.8M0.57%
64U.S. Physical Therapy, Inc.USPH408,904$40.0M0.56%
65Ecolab, Inc.ECL231,253$38.3M0.54%
66ZoomInfo Technologies, Inc.GTM1,540,219$38.1M0.53%
67Kornit Digital Ltd.KRNT1,845,509$35.7M0.50%
68CCC Intelligent Solutions HoldCCC3,886,394$34.9M0.49%
69Paycor HCM, Inc.70435P1021,313,833$34.8M0.49%
70Ollie's Bargain Outlet Holding681116109568,864$33.0M0.46%
71Alphabet, Inc. Class CGOOG310,927$32.3M0.45%
72Heska Corporation42805e306307,794$30.0M0.42%
73Phreesia, Inc.PHR916,784$29.6M0.41%
74PRA Group, Inc.PRAA755,669$29.4M0.41%
75Definitive Healthcare Corp.DH2,820,848$29.1M0.41%
76Glaukos CorporationGKOS579,911$29.1M0.41%
77Healthcare Services Group, Inc4219061082,069,443$28.7M0.40%
78IAC, Inc.IAC531,993$27.5M0.38%
79International Money Express, IINTR1,042,085$26.9M0.38%
80Entegris, Inc.ENTG313,614$25.7M0.36%
81Jack Henry & Associates, Inc.426281101169,768$25.6M0.36%
82Illumina, Inc.ILMN106,238$24.7M0.35%
83Netflix Inc.NFLX69,968$24.2M0.34%
84Goosehead Insurance, Inc.GSHD400,764$20.9M0.29%
85National Vision Holdings, Inc.EYE1,041,031$19.6M0.27%
86Pennant Group, Inc.PNTG1,337,900$19.1M0.27%
87Riverbridge Growth Fund - Inst46141P404716,156$18.5M0.26%
88Apple Inc.AAPL85,331$14.1M0.20%
89Vanguard Index Tr 500 Index Ad92290871015,422$5.8M0.08%
90Linde PlcLIN15,868$5.6M0.08%
91Equifax, Inc.EFX21,148$4.3M0.06%
92PepsiCo, Inc.PEP21,531$3.9M0.06%
93Dollar General Corp25667710518,306$3.9M0.05%
94TJX Companies, Inc.87254010943,972$3.4M0.05%
95Procter & Gamble Company74271810921,656$3.2M0.05%
96Snap-on, Inc.SNA11,007$2.7M0.04%
97Rockwell Automation ComROK9,016$2.6M0.04%
98VANGUARD INDEX FDS EXTEND MKT 92290865218,427$2.6M0.04%
99Johnson & JohnsonJNJ16,389$2.5M0.04%
100Paychex, Inc.PAYX20,563$2.4M0.03%
101Gentex CorporationGNTX81,986$2.3M0.03%
102Ishares Core S&P 500 Etf4642872005,410$2.2M0.03%
103Walmart, Inc.WMT14,631$2.2M0.03%
104Abbott LaboratoriesABLZF15,730$1.6M0.02%
105Cisco Systems, Inc.CSCO30,112$1.6M0.02%
106Nuveen AMT-Free Quality MuniciNU139,047$1.5M0.02%
107Ishares Tr Russell 2000 Growth4642876486,779$1.5M0.02%
108Roche Holding Ltd. ADR77119510441,669$1.5M0.02%
109Principal Real Estate Income FPGZ143,445$1.4M0.02%
110Tesla Inc.TSLA6,540$1.4M0.02%
111iShares Core S&P U.S. Growth E46428767115,179$1.3M0.02%
112Ares Capital CorporationARCC72,877$1.3M0.02%
113Sixth Street Specialty LendingTSLX70,406$1.3M0.02%
114Fidelity 500 Index Fund Inst3159117508,960$1.3M0.02%
115Workday, Inc. Class AWDAY6,126$1.3M0.02%
116Western Asset Mortgage Defined95790B109119,767$1.3M0.02%
117Nuveen Quality Municipal IncomNU106,241$1.2M0.02%
118Vertical Capital Income FundCCID110,689$1.1M0.02%
119Oak Street Health, Inc.67181A10726,704$1.0M0.01%
120Pioneer Municipal High Income 723763108116,187$1.0M0.01%
121Berkshire Hathaway Inc. Class BRK-A3,330$1.0M0.01%
122Pioneer Municipal High Income 723762100124,293$1.0M0.01%
123Barings BDC Inc.BBDC124,716$990,2450.01%
124BlackRock Muni Intermediate DuBLK77,189$901,5680.01%
125RiverNorth Flexible Municipal 76883Y10763,941$863,2040.01%
126JPMorgan Chase & Co.VYLD6,376$830,8570.01%
127McDonald's CorporationMCD2,935$820,6550.01%
128Invesco Quality Municipal IncoIVZ77,915$777,5920.01%
129Pioneer Floating Rate TrustPHD88,955$773,9090.01%
130DWS Municipal Income Trust23336810985,717$762,8810.01%
131PIMCO Dynamic Income Opportuni69355M10758,727$728,2150.01%
132Blackstone Strategic Credit FuBX65,316$695,6150.01%
133Okta, Inc.OKTA7,695$663,6170.01%
134PGIM High Yield Bond Fund Inc.ISD52,851$644,7820.01%
135Blackrock Income TrustBLK50,490$635,6690.01%
136BNY Mellon Strategic Municipal09662E109102,523$616,1630.01%
137BlackRock MuniHoldings Fund InBLK50,411$607,4530.01%
138Golub Capital BDC, Inc.38173M10244,665$605,6570.01%
139BlackRock Debt Strategies FundBLK63,672$605,5210.01%
140TCW Strategic Income Fund872340104129,241$604,8480.01%
141Ishares Tr Russell 10004642876222,622$590,5530.01%
142Invesco Municipal TrustVKQ57,760$572,9790.01%
143DWS Strategic Municipal Income23342Q10164,954$550,8100.01%
144Stryker Corp ComSYK1,900$542,3930.01%
145Nuveen Senior Income FundNU116,386$536,5390.01%
146JPMORGAN TR II LARGE CAP GR A4812C050610,763$511,5580.01%
147Federated Premier Municipal InFHI46,330$501,2910.01%
148Zscaler, Inc.ZS4,196$490,2190.01%
149Nuveen Credit Strategies IncomNU95,711$489,0830.01%
150RiverNorth Flexible Municipal 76883H10430,557$473,3280.01%
151Ishares Tr Russell 20004642876552,645$471,8680.01%
152Coca-Cola CompanyKO7,404$459,2700.01%
153Oracle CorporationORCL-PD4,800$446,0160.01%
154American Express CompanyAXP2,673$440,9110.01%
155Costco Wholesale Corporation22160K105857$425,8180.01%
156PayPal Holdings, Inc.PYPL5,557$421,9990.01%
157ASSOCIATED BANC CORP COMASBA23,465$421,9010.01%
158Waste Mgmt94106L1092,500$407,9250.01%
159Vanguard Index Fds Stk Mrk Etf9229087691,874$382,4830.01%
160Honeywell International Inc.4385161062,000$382,2400.01%
161Runway Growth Finance Corp.RWAYL30,418$368,9700.01%
162Walt Disney Company2546871063,525$352,9600.00%
163Fiserv, Inc.FISV3,080$348,1320.00%
164Vanguard Explorer Fund Admiral9219262003,565$331,4350.00%
165Medtronic plcMDT4,061$327,3980.00%
166AbbVie, Inc.ABBV2,040$325,1150.00%
167Oatly Group AB Sponsored ADROTLY130,035$314,6850.00%
168Western Asset Managed Municipa95766M10530,459$313,1190.00%
1693M CompanyMMM2,648$278,3310.00%
170Blackrock Taxable Municipal BoBLK15,486$277,5090.00%
171Bristol-Myers Squibb CompanyCELG-RI3,981$275,9230.00%
172Nuveen Taxable Municipal IncomNU16,937$273,0240.00%
173U.S. BancorpUSB-PS7,554$272,3220.00%
174Target CorporationTGT1,633$270,4740.00%
175Deluxe CorporationDLX16,499$263,9840.00%
176Marathon Petroleum CorporationMARA1,864$251,3230.00%
177Nuveen Municipal Credit IncomeNU20,946$250,3050.00%
178PIMCO Dynamic Income Fund72201Y10112,983$233,9540.00%
179Invesco Municipal Opportunity IVZ23,830$233,7720.00%
180Wells Fargo & Company9497461016,100$228,0180.00%
181Automatic Data Process ComADP974$216,8420.00%
182Xcel Energy Inc ComXELLL3,200$215,8080.00%
183Fidelity Contra Fund31607110915,922$211,6000.00%
184Third Ave Tr Real Estate Fd88411640111,043$209,2650.00%
185Western Asset Premier Bond Fun95766410517,198$175,4200.00%
186AMCOR PLC ORDAMCCF15,300$174,1140.00%
187PETVIVO HLDGS INC COM NEWPETVW14,369$39,5150.00%
188Bright Health Group, Inc.10920V10747,000$10,3540.00%
189Vsblty Groupe Technologies Cor91834n10060,000$7,0140.00%