
PEREGRINE CAPITAL MANAGEMENT LLC
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | VRRM | 555K | $13.71M |
![]() | TTD | 541K | $26.51M |
![]() | OGN | 536K | $5.72M |
![]() | AHCO | 535K | $4.79M |
![]() | DXCM | 531K | $35.73M |
![]() | ADMA | 531K | $7.78M |
![]() | ADPT | 523K | $7.82M |
![]() | GOOGL | 495K | $120.22M |
![]() | STVN | 486K | $12.52M |
![]() | NET | 478K | $102.54M |
![]() | PK | 467K | $5.18M |
![]() | CFLT | 467K | $9.24M |
![]() | BOX | 458K | $14.77M |
![]() | MIR | 443K | $10.31M |
![]() | CRGY | 440K | $3.92M |
![]() | APLE | 427K | $5.13M |
![]() | THRY | 418K | $5.04M |
![]() | BANC | 417K | $6.91M |
![]() | FLOC | 412K | $6.12M |
![]() | MBC | 409K | $5.39M |

Verra Mobility Corporation
VRRM
Shares Held
555K
Value
$13.71M

The Trade Desk, Inc.
TTD
Shares Held
541K
Value
$26.51M

Organon & Co.
OGN
Shares Held
536K
Value
$5.72M

AdaptHealth Corp.
AHCO
Shares Held
535K
Value
$4.79M

DexCom, Inc.
DXCM
Shares Held
531K
Value
$35.73M

ADMA Biologics, Inc.
ADMA
Shares Held
531K
Value
$7.78M

Adaptive Biotechnologies Corporation
ADPT
Shares Held
523K
Value
$7.82M

Alphabet Inc.
GOOGL
Shares Held
495K
Value
$120.22M

Stevanato Group S.p.A.
STVN
Shares Held
486K
Value
$12.52M

Cloudflare, Inc.
NET
Shares Held
478K
Value
$102.54M

Park Hotels & Resorts Inc.
PK
Shares Held
467K
Value
$5.18M

Confluent, Inc.
CFLT
Shares Held
467K
Value
$9.24M

Box, Inc.
BOX
Shares Held
458K
Value
$14.77M

Mirion Technologies, Inc.
MIR
Shares Held
443K
Value
$10.31M

Crescent Energy Company
CRGY
Shares Held
440K
Value
$3.92M

Apple Hospitality REIT, Inc.
APLE
Shares Held
427K
Value
$5.13M

Thryv Holdings, Inc.
THRY
Shares Held
418K
Value
$5.04M

Banc of California, Inc.
BANC
Shares Held
417K
Value
$6.91M

Flowco Holdings Inc.
FLOC
Shares Held
412K
Value
$6.12M

MasterBrand, Inc.
MBC
Shares Held
409K
Value
$5.39M
