13FBOX
Lisanti Capital Growth, LLC · 13F Holdings
Options Calculator Rankings

Lisanti Capital Growth, LLC

No.4519 Data as of 2026Q2
Latest AUM (Q2 2026)
$454.6M
QoQ Change Q1 2026
+$57.7M+14.6%
Holdings
109
New Buys
50
Adds
19
Reduces
36
Exits
44
Unchanged
4
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
HHINGE HEALTH INCHNGE
2.54%0.58%$11.5M139,150$2.3M59,200+79,950+135.05%Add
BBRIGHTSPRING HEALTH SVCS INCBTSG
2.37%2.03%$10.8M154,620$8.1M189,455-34,835-18.39%Reduce
XOMETRY INCXMTR
2.14%$9.7M100,880$00+100,880New Buy
SSOLARIS ENERGY INFRAS INCSEI
2.03%1.67%$9.2M114,745$6.6M117,315-2,570-2.19%Reduce
CCORCEPT THERAPEUTICS INCCORT
1.75%$8.0M91,610$00+91,610New Buy
DDIGITALOCEAN HLDGS INCDOCN
1.74%1.5%$7.9M50,425$5.9M69,225-18,800-27.16%Reduce
AALLEGRO MICROSYSTEMS INC COMALGM
1.65%$7.5M107,865$00+107,865New Buy
MMIRUM PHARMACEUTICALS INCMIRM
1.63%0.91%$7.4M63,295$3.6M39,005+24,290+62.27%Add
JFROG LTDFROG
1.61%1.41%$7.3M80,655$5.6M119,310-38,655-32.40%Reduce
CCARPENTER TECHNOLOGY CORPCRS
1.58%2.08%$7.2M11,665$8.3M20,975-9,310-44.39%Reduce
DDYCOM INDS INCDY
1.58%1.45%$7.2M14,170$5.8M17,005-2,835-16.67%Reduce
KRYSTAL BIOTECH INCKRYS
1.56%1.21%$7.1M19,050$4.8M18,515+535+2.89%Add
COMMVAULT SYS INCCVLT
1.55%$7.0M49,640$00+49,640New Buy
AADAPTIVE BIOTECHNOLOGIES CORADPT
1.53%$7.0M325,155$00+325,155New Buy
ZZETA GLOBAL HOLDINGS CORPZETA
1.52%0.61%$6.9M351,415$2.4M150,935+200,480+132.83%Add
RRBC BEARINGS INCRBC
1.49%1.74%$6.8M10,531$6.9M12,746-2,215-17.38%Reduce
TTRAVERE THERAPEUTICS INCTVTX
1.49%0.36%$6.8M119,005$1.4M48,185+70,820+146.98%Add
ENOVA INTL INCENVA
1.46%0.88%$6.7M27,655$3.5M25,840+1,815+7.02%Add
FFORMFACTOR INCFORM
1.46%0.72%$6.6M41,430$2.8M29,305+12,125+41.38%Add
UULTRA CLEAN HLDGS INCUCTT
1.45%0.94%$6.6M46,285$3.7M59,835-13,550-22.65%Reduce
PALVELLA THERAPEUTICS INC NEPVLA
1.44%1.3%$6.6M42,975$5.2M41,445+1,530+3.69%Add
SSILICON MOTION (SPADR REPR 4 SHS)SIMO
1.44%0.72%$6.5M19,600$2.8M25,285-5,685-22.48%Reduce
MMODINE MFG COMOD
1.41%2.04%$6.4M23,975$8.1M37,265-13,290-35.66%Reduce
CROCS INCCROX
1.4%$6.4M52,840$00+52,840New Buy
GGUARDIAN PHARMACY SVCS INCGRDN
1.4%1.79%$6.4M152,025$7.1M188,150-36,125-19.20%Reduce
CCECO ENVIRONMENTAL CORPCECO
1.34%0.46%$6.1M67,275$1.8M30,860+36,415+118.00%Add
EEXTREME NETWORKS INCEXTR
1.3%$5.9M183,095$00+183,095New Buy
LIGAND PHARMACEUTICALS INCLGND
1.3%1.94%$5.9M18,747$7.7M38,612-19,865-51.45%Reduce
KKINIKSA PHARMACEUTICALS INTLKNSA
1.23%0.38%$5.6M87,305$1.5M31,065+56,240+181.04%Add
HHEARTFLOW INCHTFL
1.22%0.76%$5.6M189,675$3.0M123,805+65,870+53.20%Add
LLATTICE SEMICONDUCTOR CORPLSCC
1.22%1.39%$5.6M36,365$5.5M59,610-23,245-39.00%Reduce
MMAGNITE INCMGNI
1.21%0.93%$5.5M289,030$3.7M309,440-20,410-6.60%Reduce
SSEMTECH CORPSMTC
1.2%0.6%$5.4M33,630$2.4M30,785+2,845+9.24%Add
VERICEL CORPVCEL
1.18%$5.4M120,380$00+120,380New Buy
LLINDBLAD EXPEDITIONS HLDGS ILIND
1.16%$5.3M186,940$00+186,940New Buy
AXSOME THERAPEUTICS INC.AXSM
1.12%0.94%$5.1M20,825$3.7M22,075-1,250-5.66%Reduce
MMERCURY SYS INCMRCY
1.12%0.98%$5.1M41,450$3.9M53,565-12,115-22.62%Reduce
VVSE CORPVSEC
1.09%1.36%$5.0M21,754$5.4M29,169-7,415-25.42%Reduce
EEQUIPMENTSHARE COM INCEQPT
1.07%$4.9M248,500$00+248,500New Buy
DAVE INCDAVE
1.07%$4.9M13,060$00+13,060New Buy
GRAHAM CORPGHM
1.06%$4.8M39,005$00+39,005New Buy
ONESPAWORLD HOLDINGS LIMITEDOSW
1.06%$4.8M170,180$00+170,180New Buy
AARGAN INCAGX
1.05%1.43%$4.8M6,005$5.7M10,405-4,400-42.29%Reduce
NNLIGHT INCLASR
1.03%1.4%$4.7M67,128$5.6M97,558-30,430-31.19%Reduce
CCLEAR SECURE INCYOU
1%0.41%$4.6M81,815$1.6M33,360+48,455+145.25%Add
AAPPLIED DIGITAL CORPAPLD
1%$4.5M121,865$00+121,865New Buy
ACADIA HEALTHCARE COMPANY INACHC
0.99%$4.5M152,445$00+152,445New Buy
RREMITLY GLOBAL INCRELY
0.96%$4.3M194,070$00+194,070New Buy
AXOGEN INCAXGN
0.92%0.85%$4.2M90,565$3.4M102,325-11,760-11.49%Reduce
FFIVE9 INCFIVN
0.91%$4.1M193,680$00+193,680New Buy

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow