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BCSIX

Brown Capital Management Small Company Fund
1W: +0.6% 1M: -6.2% 3M: -18.6% YTD: -16.8% 1Y: -59.6% 3Y: -73.5% 5Y: -83.0%
$17.58
-0.27 (-1.51%)
 
ETF NASDAQ · AUM $236.2M
ETF-Level Metrics
AUM$236M
Holdings39
Top 10 Wt48.6%
Beta1.26
% Profitable68%
Coverage97%
Portfolio Valuation
P/E61.9
P/B6.2
P/S7.8
EV/EBITDA44.0
P/FCF31.6
PEG5.34
Profitability & Returns
Gross Margin66.5%
Net Margin11.5%
ROE9.8%
ROA5.8%
ROIC12.4%
Div Yield0.11%
Leverage & Liquidity
Debt/Equity0.26
Debt/Assets0.15
Net Debt/EBITDA-2.8x
Interest Cov16.7x
Current Ratio2.28
Quick Ratio2.22
Growth (YoY)
Revenue+16.7%
Net Income+38.7%
EPS+39.9%
FCF+24.3%
EBITDA+39.3%
Rev CAGR 3Y+17.3%
Quality Scores
Piotroski F6.3
Altman Z10.47
IS Quality71.7
IS Overall59.8
IS Value35.4
Median P/E21.6

Sector Breakdown

5 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 21 58.4% 34.3
Healthcare 14 31.1% 20.9
Industrials 3 7.5% -1.8
Other 1 2.8%
Consumer Defensive 1 0.4% 121.2

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 40 of 40 holdings · Page 1 of 1
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Veeva Systems, Inc. VEEV 6.02% $42.1M 141,320 33.3 $30.3B Healthcare
2 Datadog Inc DDOG 5.71% $39.9M 280,401 407.4 $44.3B Technology
3 Appfolio Inc APPF 5.23% $36.6M 132,768 42.4 $6.0B Technology
4 Guidewire Software, Inc. GWRE 5.21% $36.5M 158,598 69.7 $13.2B Technology
5 Repligen Corp. RGEN 5.12% $35.8M 267,907 131.6 $6.4B Healthcare
6 Manhattan Associates, Inc. MANH 4.81% $33.7M 164,190 37.5 $8.3B Technology
7 Xometry, Inc. XMTR 4.65% $32.5M 597,425 -32.3 $2.0B Industrials
8 Tyler Technologies, Inc. TYL 4.51% $31.5M 60,281 47.8 $15.1B Technology
9 Vericel Corp. VCEL 3.69% $25.8M 819,165 96.2 $1.6B Healthcare
10 Cognex Corp CGNX 3.62% $25.3M 558,790 72.0 $8.2B Technology
11 Paycom Software, Inc. PAYC 3.61% $25.2M 121,119 15.1 $6.9B Technology
12 Glaukos Corp. GKOS 3.58% $25.1M 307,205 -30.9 $5.9B Healthcare
13 Alarm.com Holdings Inc ALRM 3.34% $23.4M 440,400 16.7 $2.2B Technology
14 Q2 Holdings, Inc. QTWO 3.19% $22.3M 307,956 57.9 $3.0B Technology
15 Bio-techne Corp TECH 3.13% $21.9M 393,512 98.9 $8.1B Healthcare
16 First American Treasury Obligations Fund Bond 2.77% $19.4M 19,385,304
17 Agilysys, Inc. AGYS 2.77% $19.4M 184,171 65.1 $2.0B Technology
18 nCino, Inc. NCNO 2.47% $17.3M 636,978 -79.9 $1.8B Technology
19 Default WK 2.30% $16.1M 187,140 -131.1 $3.5B Technology
20 Default CWAN 2.22% $15.5M 859,696 -174.3 $6.9B Technology
21 Default TMDX 2.13% $14.9M 132,461 20.5 $3.9B Healthcare
22 Default BMI 2.09% $14.6M 81,752 30.7 $4.4B Technology
23 UFP Technologies Inc UFPT 1.85% $12.9M 64,745 21.5 $1.5B Healthcare
24 Default VERX 1.69% $11.8M 475,578 312.2 $2.1B Technology
25 ENERGY RECOVERY INC ERII 1.59% $11.1M 723,046 21.8 $501M Industrials
26 Default DUOL 1.43% $10.0M 30,980 11.0 $4.6B Technology
27 OrthoPediatrics Corp. KIDS 1.30% $9.1M 490,172 -9.8 $418M Healthcare
28 Cryoport Inc CYRX 1.29% $9.1M 955,008 5.1 $403M Industrials
29 Doubleverify Holdings Inc. DV 1.23% $8.6M 718,726 32.3 $1.6B Technology
30 SPS COMMERCE INC SPSC 1.22% $8.5M 81,941 23.4 $2.2B Technology
31 Default CORT 1.13% $7.9M 94,714 36.3 $3.7B Healthcare
32 Inspire Medical Systems, Inc. INSP 1.05% $7.3M 98,965 10.7 $1.6B Healthcare
33 Default RDVT 0.94% $6.6M 126,348 41.0 $542M Technology
34 CYTEK BIOSCIENCES INC CTKB 0.91% $6.3M 1,827,215 -8.6 $576M Healthcare
35 AXOGEN INC AXGN 0.64% $4.5M 250,355 -92.0 $1.6B Healthcare
36 Default INTA 0.48% $3.4M 82,349 -79.6 $2.1B Technology
37 Default MMMB 0.41% $2.9M 271,800 121.2 $137M Consumer Defensive
38 Default RXST 0.41% $2.8M 315,652 -6.8 $266M Healthcare
39 PROS Holdings, Inc. PRO 0.27% $1.9M 83,349 -96.1 $1.1B Technology
40 Tandem Diabetes Care, Inc. TNDM 0.18% $1.3M 103,583 -8.2 $1.7B Healthcare

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms