EAM Investors, LLC

13F Filings History

Latest 13F report
Q2 2025 - Aug 12, 2025
Value $
$660M
Signature - Title
Iris Kelly - Chief Compliance Officer
Location
Solana Beach, CA
Summary
This page shows a list of all the recent 13F filings made by EAM Investors, LLC. Form 13F is required to be filed within 45 days of the end of a calendar quarter. EAM Investors, LLC reported 220 stock holdings with total value $660M as of Q2 2025. Top holdings included CRS, CRDO, FN, SEZL, and DAVE.
Holdings Value
Quarter Holdings Value $ Bought Sold Net Top Holdings Form Type Date Filed
Q2 2025 220 $660M +$380M -$367M +$12.7M CRS, CRDO, FN, SEZL, DAVE 13F-HR 8/12/2025, 11:51 AM
Q1 2025 246 $578M +$342M -$452M -$110M CORT, EXLS, BROS, DOCS, CRS 13F-HR 5/12/2025, 06:19 PM
Q4 2024 251 $706M +$388M -$404M -$16.1M CRDO, REAL, CVLT, GKOS, EXLS 13F-HR 2/13/2025, 05:21 PM
Q3 2024 239 $669M +$324M -$343M -$18.7M FTAI, PCVX, SFM, INSM, CVLT 13F-HR 11/13/2024, 02:11 PM
Q2 2024 241 $615M +$341M -$385M -$43.5M SMCI, INSM, FTAI, DY, CVLT 13F-HR 8/12/2024, 02:02 PM
Q1 2024 227 $627M +$314M -$334M -$19.8M SMCI, VKTX, AIT, NXT, FIX 13F-HR 5/13/2024, 02:55 PM
Q4 2023 230 $558M +$371M -$385M -$14.2M FN, SSD, AIT, APG, MTSI 13F-HR 2/13/2024, 07:02 PM
Q3 2023 405 $515M +$288M -$325M -$37.7M POWL, CBAY, AEHR, MDXG, HDSN 13F-HR 11/13/2023, 02:40 PM
Q2 2023 256 $540M +$340M -$63.2M +$277M APLD, RXST, ARLO, UFPT, BELFB 13F-HR 8/11/2023, 12:41 PM
Q1 2023 244 $509M +$280M -$45.5M +$235M UFPT, HROW, VKTX, PI, RRGB Restatement 7/12/2023, 04:15 PM
Q4 2022 249 $483M +$236M -$61.1M +$175M ADMA, UFPT, RYTM, VKTX, TH 13F-HR 2/14/2023, 10:41 AM
Q3 2022 242 $456M +$260M -$26.5M +$233M CNCE, TH, COGT, RYTM, LNTH 13F-HR 11/14/2022, 11:39 AM
Q2 2022 243 $407M +$219M -$48.5M +$170M HDSN, RCMT, CTIC, LNTH, EOLS 13F-HR 8/12/2022, 12:32 PM
Q1 2022 269 $535M +$317M -$55.7M +$262M EGIO, LXU, CUTR, KZR, CTIC 13F-HR 5/12/2022, 06:49 PM
Q4 2021 276 $604M +$302M -$80.6M +$221M CLFD, BXC, KRUS, KZR, AEHR 13F-HR 2/11/2022, 03:00 PM
Q3 2021 274 $593M +$333M -$425M -$91.9M OPRX, PLXPQ, PAVM, AEHR, SKY 13F-HR 11/12/2021, 09:41 AM
Q2 2021 302 $648M +$389M -$471M -$82.4M EVRI, PRTA, PAVM, EMKR, SGRY 13F-HR 8/12/2021, 07:21 PM
Q1 2021 322 $664M +$420M -$434M -$14.3M SSTK, UCTT, MODG, ATKR, BALY 13F-HR 5/10/2021, 06:28 PM
Q4 2020 290 $607M +$369M -$91.9M +$277M MODG, APAM, SSTK, GNTX, OCUL 13F-HR 2/11/2021, 09:38 AM
Q3 2020 263 $422M +$229M -$110M +$120M SITM, APPS, CRDF, WKHS, CYRX 13F-HR 11/13/2020, 12:08 PM
Q2 2020 254 $452M +$271M -$99.7M +$172M WKHS, SPWH, PLUG, APPS, EVER 13F-HR 8/12/2020, 05:46 PM
Q1 2020 204 $320M +$145M -$19.5M +$125M AXSM, PLUG, TDOC, CCXI, ICAD 13F-HR 5/13/2020, 04:02 PM
Q4 2019 242 $455M +$257M -$46.1M +$211M AXSM, PRFT, MODN, CUTR, ATEC 13F-HR 2/11/2020, 02:50 PM
Q3 2019 228 $377M +$177M -$44.8M +$132M APPS, RUBI, CUTR, PRFT, AGYS 13F-HR 11/12/2019, 04:32 PM
Q2 2019 242 $409M +$163M -$53.8M +$109M APPS, NSSC, VCYT, BDSI, AXSM 13F-HR 8/14/2019, 12:18 PM
Q1 2019 247 $407M +$194M -$61.7M +$132M LAB, VCYT, BDSI, TNDM, CDXS 13F-HR 5/10/2019, 05:49 PM
Q4 2018 248 $368M +$148M -$103M +$45.7M AMSC, CDXS, EHTH, CDNA, BEAT 13F-HR 2/12/2019, 04:44 PM
Q3 2018 296 $672M +$308M -$87.6M +$220M BEAT, TCMD, WIFI, HIIQ, FRPT 13F-HR 11/8/2018, 04:09 PM
Q2 2018 286 $634M +$325M -$107M +$217M HEAR, MDGL, USAT, TRHC, NVTRQ 13F-HR 8/3/2018, 04:45 PM
Q1 2018 282 $601M +$284M -$41.9M +$242M NKTR, TRHC, HRTX, CUTR, ESPR 13F-HR 5/14/2018, 02:44 PM
Q4 2017 296 $558M +$183M -$176M +$7.51M USAT, BOOT, WGO, GLYC, AXGN Restatement 5/21/2018, 03:45 PM
Q3 2017 290 $752M +$337M -$83.1M +$254M GLIN, CUTR, SODA, WGO, LL 13F-HR 11/8/2017, 11:04 AM
Q2 2017 291 $605M +$291M -$81.7M +$210M LOXO, KTOS, CUTR, OSUR, TCMD 13F-HR 8/11/2017, 05:25 PM
Q1 2017 307 $635M +$255M -$142M +$113M AKAOQ, UCTT, HSKA, OSUR, AAOI 13F-HR 5/10/2017, 04:38 PM
Q4 2016 308 $749M +$332M -$93.5M +$239M HZN, HSKA, HDSN, KTOS, AKAOQ 13F-HR 2/14/2017, 12:42 PM
Q3 2016 293 $745M +$336M -$84.3M +$252M CLCD, FIVN, REN, SPAR, HZN 13F-HR 11/10/2016, 11:29 AM
Q2 2016 294 $665M +$336M -$56.4M +$280M FIVN, MGPI, NEO, MITK, LOXO 13F-HR 8/4/2016, 02:47 PM
Q1 2016 294 $639M +$242M -$80M +$162M SCIFXXXX, FIVN, USCR, CPXX, LOXO 13F-HR 5/13/2016, 05:44 PM
Q4 2015 303 $765M +$335M -$33.4M +$302M SCIFXXXX, ABTL, USCR, NEO, HSKA 13F-HR 2/5/2016, 01:33 PM
Q3 2015 289 $628M +$218M -$99.6M +$119M USCR, HSKA, IMMR, MXL, LGIH 13F-HR 11/6/2015, 02:33 PM
Q2 2015 310 $853M +$349M -$91.4M +$258M SIGM, NPTN, USCR, FOLD, TGTX 13F-HR 8/13/2015, 01:12 PM
Q1 2015 322 $865M +$436M -$70.5M +$365M ESPR, FOLD, EGRX, USCR, TGTX 13F-HR 5/7/2015, 03:38 PM
Q4 2014 306 $717M +$360M -$21.9M +$338M ESPR, TGTX, RCPT, TTPHXXXX, FOLD 13F-HR 2/9/2015, 01:03 PM
Q3 2014 310 $492M +$187M -$35.5M +$151M IG, BDSI, SCIFXXXX, PXLW, CNCE 13F-HR 11/13/2014, 02:59 PM
Q2 2014 319 $527M +$202M -$51M +$151M CPEXXXX, PXLW, PEIXXXXX, MCHX, RGEN 13F-HR 8/11/2014, 04:51 PM
Q1 2014 305 $555M +$202M -$65.4M +$137M INSM, MPAA, CAMP, PEIXXXXX, HZNP 13F-HR 5/15/2014, 11:15 AM
Q4 2013 304 $554M CSII, CAMP, HCI, ABTL, CALD 13F-HR 2/14/2014, 01:21 PM