Millrace Asset 13F annual report

Millrace Asset is an investment fund managing more than $103 million ran by Jocelyn Dalkin. There are currently 71 companies in Mrs. Dalkin’s portfolio. The largest investments include Spdr Sp Biotech Etfetf and Zeta Global Holdings Corp.cmn, together worth $6.11 million.

Limited to 30 biggest holdings

$103 million Assets Under Management (AUM)

As of 5th August 2024, Millrace Asset’s top holding is 35,012 shares of Spdr Sp Biotech Etfetf currently worth over $3.25 million and making up 3.2% of the portfolio value. In addition, the fund holds 162,019 shares of Zeta Global Holdings Corp.cmn worth $2.86 million. The third-largest holding is Magnite Inc.cmn worth $2.84 million and the next is Ulta Beauty Inccmn worth $2.7 million, with 7,002 shares owned.

Currently, Millrace Asset's portfolio is worth at least $103 million. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Millrace Asset

The Millrace Asset office and employees reside in Berwyn, Pennsylvania. According to the last 13-F report filed with the SEC, Jocelyn Dalkin serves as the CFO at Millrace Asset.

Recent trades

In the most recent 13F filing, Millrace Asset revealed that it had opened a new position in Spdr Sp Biotech Etfetf and bought 35,012 shares worth $3.25 million.

The investment fund also strengthened its position in Magnite Inc.cmn by buying 109,184 additional shares. This makes their stake in Magnite Inc.cmn total 213,691 shares worth $2.84 million.

On the other hand, there are companies that Millrace Asset is getting rid of from its portfolio. Millrace Asset closed its position in He Equipment Services Inccmn on 12th August 2024. It sold the previously owned 41,335 shares for $2.65 million. Jocelyn Dalkin also disclosed a decreased stake in Zeta Global Holdings Corp.cmn by 0.5%. This leaves the value of the investment at $2.86 million and 162,019 shares.

One of the smallest hedge funds

The two most similar investment funds to Millrace Asset are Pinnacle West Asset Management and Newcastle Partners, L.P.. They manage $103 million and $103 million respectively.


The complete list of Millrace Asset trades based on 13F SEC filings

These positions were updated on August 12th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Spdr Sp Biotech Etfetf
Opened
35,012
$3,246,000 3.15%
Zeta Global Holdings Corp.cmn
54.89%
162,019
$2,860,000 2.78%
Magnite Inc.cmn
104.48%
213,691
$2,840,000 2.76%
Ulta Beauty Inccmn
Opened
7,002
$2,702,000 2.62%
Huron Consulting Group Inc.cmn
Opened
27,310
$2,690,000 2.61%
He Equipment Services Inccmn
Closed
41,335
$2,653,000
Bowman Consulting Group Ltdcmn
1.36%
78,778
$2,504,000 2.43%
Avepoint Inccmn
31.28%
232,831
$2,426,000 2.36%
Urban Outfitters Inccmn
Opened
54,853
$2,252,000 2.19%
Osi Systems Inc.cmn
2.68%
16,339
$2,247,000 2.18%
Pdf Solutions Inc.cmn
24.59%
59,287
$2,157,000 2.09%
Maxlinear Inc.cmn
0.43%
106,087
$2,137,000 2.07%
Progyny Inccmn
Closed
55,044
$2,100,000
Enovix Corpcmn
16.25%
135,354
$2,093,000 2.03%
Ollie's Bargain Outlet Hldginc Cmn
Opened
21,007
$2,062,000 2.00%
Fluor Corporationcmn
11.24%
46,951
$2,045,000 1.99%
Irhythm Technologies Inccmn
Opened
18,675
$2,010,000 1.95%
Vse Corporationcmn
Opened
22,408
$1,978,000 1.92%
Shift4 Payments Inc.cmn
Opened
26,843
$1,969,000 1.91%
Insulet Corporationcmn
Opened
9,535
$1,924,000 1.87%
Carrols Restaurant Group Inccmn
Closed
200,373
$1,906,000
Gentherm Incorporatedcmn
12.55%
38,280
$1,888,000 1.83%
Liveramp Holdings Inc.cmn
4.16%
58,354
$1,805,000 1.75%
Montrose Environmental Group Cmn
24.90%
39,926
$1,779,000 1.73%
Pulmonx Corpcmn
Closed
191,580
$1,776,000
Sezzle Inc.cmn
Opened
19,642
$1,733,000 1.68%
Silicon Motion Technology Corsponsored Adr Cmn
Opened
21,007
$1,701,000 1.65%
Franklin Covey Cocmn
Opened
44,536
$1,692,000 1.64%
Middleby Corporation (the)cmn
Closed
10,508
$1,690,000
Stratasys Ltdcmn
Closed
143,417
$1,667,000
Potbelly Corporationcmn
Closed
137,480
$1,665,000
Mitek Systems Inc (new)cmn
49.38%
146,366
$1,636,000 1.59%
Icu Medical Inccmn
Opened
13,771
$1,635,000 1.59%
Atricure Inccmn
28.89%
70,048
$1,595,000 1.55%
Pros Holdings Inc.cmn
20.95%
55,555
$1,592,000 1.55%
Sweetgreen Inc.cmn
Opened
52,526
$1,583,000 1.54%
Abercrombie Fitch Co.class A Common Stock
Opened
8,756
$1,557,000 1.51%
Globus Medical Inccmn Class A
27.50%
22,174
$1,519,000 1.47%
Carpenter Technology Inccmn
40.07%
13,421
$1,471,000 1.43%
Mimedx Group Inc.cmn
3.46%
208,338
$1,444,000 1.40%
Petiq Inccmn
Opened
65,356
$1,442,000 1.40%
Bowlero Corpcmn
Opened
99,201
$1,437,000 1.40%
Inari Medical Inccmn
Opened
29,760
$1,433,000 1.39%
Wabash National Corp.cmn
Closed
47,301
$1,416,000
Synaptics Incorporatedcmn
Closed
14,144
$1,380,000
Powerfleet Inccmn
Closed
253,216
$1,352,000
Coherent Corpcmn
0.24%
18,615
$1,349,000 1.31%
Flowserve Corporationcmn
32.19%
28,010
$1,347,000 1.31%
C.h. Robinson Worldwide Inc.cmn
Opened
15,289
$1,347,000 1.31%
Viemed Healthcare Inc.cmn
74.13%
204,238
$1,338,000 1.30%
Avid Bioservices Inc.cmn
Opened
183,464
$1,310,000 1.27%
Lifemd Inccmn
Closed
123,795
$1,273,000
Alta Equipment Group Inccmn Class A
Closed
95,143
$1,232,000
Augmedix Inc.cmn
Closed
298,147
$1,219,000
Bit Digital Inccmn
Closed
424,466
$1,218,000
Aviat Networks Inc.cmn
22.43%
42,312
$1,214,000 1.18%
Inogen Inc.cmn
23.75%
145,884
$1,186,000 1.15%
Arlo Technologies Inccmn
23.40%
88,581
$1,155,000 1.12%
Alphatec Holdings Inc.cmn
9.06%
109,705
$1,146,000 1.11%
Repay Holdings Corpcmn
62.53%
102,037
$1,078,000 1.05%
Natera Inc.cmn
29.22%
9,916
$1,074,000 1.04%
Indie Semiconductor Inccmn
0.98%
167,709
$1,035,000 1.00%
Neuronetics Inc.cmn
27.53%
548,470
$987,000 0.96%
Ceragon Networks Ltdcmn
11.08%
382,703
$957,000 0.93%
Vicor Corporationcmn
Opened
28,710
$952,000 0.92%
Lovesac Companycmn
22.19%
42,022
$949,000 0.92%
The Scotts Miracle Gro Coclass A
29.92%
14,588
$949,000 0.92%
Mama's Creations Inccmn
Opened
140,049
$944,000 0.92%
Faro Technologies Inc.cmn
Closed
43,017
$925,000
Portillo's Inccmn
Opened
93,381
$908,000 0.88%
Azenta Inccmn
Closed
14,687
$885,000
Masimo Corporationcmn
21.04%
7,002
$882,000 0.86%
Bristow Group Inccmn
Opened
25,909
$869,000 0.84%
Hillman Solutions Corpcmn
33.99%
98,034
$868,000 0.84%
Yatra Online Inccmn
Closed
537,076
$854,000
Covenant Logistics Group Incgrp Inc
28.37%
16,689
$823,000 0.80%
Universal Technical Institutecmn
Opened
50,154
$789,000 0.77%
Sitime Corpcmn
143.83%
5,952
$740,000 0.72%
Sally Beauty Holdings Inc.cmn
Closed
59,018
$733,000
Five9 Inc.cmn
15.82%
16,562
$730,000 0.71%
Lightspeed Comm/shcmn
55.52%
52,586
$720,000 0.70%
Spire Global Inc.cmn
Opened
65,823
$714,000 0.69%
Transmedics Group Inc.cmn
79.19%
4,668
$703,000 0.68%
Evolv Technologies Holdings Cmn
Closed
151,639
$675,000
Tetra Technologies Inc (del)cmn
Opened
175,031
$606,000 0.59%
Smart Global Holdings Inc.cmn
Closed
22,484
$592,000
Ceco Environmental Corpcmn
83.92%
18,586
$536,000 0.52%
Limbach Holdings Inc.cmn
Opened
9,337
$532,000 0.52%
Avient Corcmn
Opened
11,686
$510,000 0.50%
Monro Inc.cmn
Closed
14,164
$447,000
Castle Biosciences Inccmn
64.83%
17,506
$381,000 0.37%
Maxcyte Inccmn
Closed
84,043
$352,000
Arhaus Inc.cmn
79.11%
17,506
$297,000 0.29%
International Money Express Cmn
Closed
12,352
$282,000
No transactions found
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