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Champlain Investment Partners, LLC

OtherOther

AUM: $14.3T·135 positions·Q4 2025

Filed: Feb 13, 2026

CIK: 0001315478

Champlain Investment Partners, LLC is a Other fund managing $14325487.7 trillion in assets. The fund runs a portfolio of 135 positions.

Top 10 Holdings

#StockValue% Port.Chg
1
PEN
$187.1T1.9%-16.2%
2
NTNX
$176.3T1.8%-2.0%
3
ESAB
$170.1T1.7%-23.5%
4
MSA
$169.9T1.7%-28.0%
5
8QR
$166.0T1.7%-50.7%
6
RGEN
$164.5T1.7%-25.0%
7
WING
$161.7T1.6%-11.6%
8
GTLB
$153.5T1.6%-13.1%
9
CFR
$147.9T1.5%-30.9%
10
EW
$147.8T1.5%-18.0%

Notable Moves

New Positions

$108.1T (1.1%)
$87.6T (0.9%)
$81.6T (0.8%)
$72.3T (0.7%)
$58.8T (0.6%)
$42.2T (0.4%)
$35.7T (0.4%)
$32.4T (0.3%)

Exits & Heavy Cuts

-51% · $166.0T
-51% · $111.7T
-66% · $97.8T
-51% · $62.4T
-52% · $50.6T
-52% · $48.2T
-64% · $38.7T
-79% · $38.6T

Fund Analysis

Fund analysis is being prepared.

All Holdings

Sort:
#StockValue% Port.Chg
1
PEN
$187.1T1.9%-16.2%
2
NTNX
$176.3T1.8%-2.0%
3
ESAB
$170.1T1.7%-23.5%
4
MSA
$169.9T1.7%-28.0%
5
8QR
$166.0T1.7%-50.7%
6
RGEN
$164.5T1.7%-25.0%
7
WING
$161.7T1.6%-11.6%
8
GTLB
$153.5T1.6%-13.1%
9
CFR
$147.9T1.5%-30.9%
10
EW
$147.8T1.5%-18.0%
11
IEX
$147.8T1.5%-11.8%
12
COO
$145.0T1.5%-9.2%
13
MSCI
$142.8T1.4%-9.6%
14
HLNE
$142.5T1.4%-23.6%
15
MTD
$141.1T1.4%-8.0%
16
EXK
$137.4T1.4%-42.9%
17
WH
$134.0T1.4%-19.9%
18
DPZ
$132.8T1.3%+5.3%
19
RYAN
$132.0T1.3%-16.6%
20
GWW
$131.5T1.3%-6.4%
21
TW
$130.8T1.3%+25.3%
22
WST
$130.8T1.3%+3.6%
23
OKTA
$130.7T1.3%-11.1%
24
SNPS
$130.0T1.3%+13.8%
25
ACGL
$127.2T1.3%+2.2%
26
AAON
$126.9T1.3%-28.3%
27
AME
$126.6T1.3%-30.1%
28
WAT
$118.8T1.2%-16.6%
29
MKC
$118.5T1.2%-5.8%
30
PCOR
$116.8T1.2%-17.6%
31
XYL
$114.8T1.2%-31.3%
32
SFBS
$112.6T1.1%-41.8%
33
NDSN
$112.2T1.1%-26.0%
34
MDB
$111.7T1.1%-51.2%
35
A
$110.0T1.1%-9.8%
36
VLTO
$109.7T1.1%-27.5%
37
FAST
$108.6T1.1%+23.9%
38
FRPT
$108.2T1.1%-28.7%
39
FNDNEW
$108.1T1.1%
40
CSL
$107.2T1.1%+150.8%
41
CAVA
$106.5T1.1%-15.4%
42
TOST
$103.2T1.0%+19.2%
43
AXON
$102.9T1.0%+29.5%
44
FDS
$99.6T1.0%+15.6%
45
WDAY
$98.9T1.0%-17.8%
46
PSTG
$97.8T1.0%-65.6%
47
FTV
$97.4T1.0%+8.6%
48
LECO
$94.4T1.0%-27.5%
49
CHWY
$94.2T1.0%+29.5%
50
KNSL
$93.2T0.9%-17.8%
51
ELF
$92.3T0.9%-41.2%
52
AKAM
$91.4T0.9%+47.6%
53
VEEV
$91.1T0.9%+4.9%
54
BWIN
$87.7T0.9%-6.8%
55
BRONEW
$87.6T0.9%
56
TECH
$82.6T0.8%-17.5%
57
STE
$82.3T0.8%-16.6%
58
SFMNEW
$81.6T0.8%
59
ADSK
$80.6T0.8%-10.7%
60
HLI
$80.0T0.8%-10.2%
61
PANW
$77.1T0.8%-16.8%
62
ZS
$74.6T0.8%-15.9%
63
WCNNEW
$72.3T0.7%
64
DDOG
$68.6T0.7%-45.1%
65
GGG
$67.8T0.7%-17.9%
66
CSW
$63.1T0.6%-30.5%
67
GMED
$62.4T0.6%-50.6%
68
CART
$61.8T0.6%-17.5%
69
CBSHNEW
$58.8T0.6%
70
BRZE
$57.3T0.6%-37.8%
71
NOVT
$57.2T0.6%-29.1%
72
KAI
$52.6T0.5%-25.6%
73
SSD
$51.0T0.5%-29.4%
74
CVLT
$51.0T0.5%+18.0%
75
PLNT
$50.7T0.5%-26.2%
76
SXI
$50.6T0.5%-52.3%
77
SPXC
$50.2T0.5%-39.5%
78
TTD
$49.4T0.5%-22.2%
79
FFIN
$49.3T0.5%-41.0%
80
RBA
$48.7T0.5%-24.9%
81
JBTM
$48.2T0.5%-51.9%
82
S
$47.5T0.5%-39.5%
83
SKWD
$47.2T0.5%-32.7%
84
EPAC
$47.0T0.5%-35.9%
85
ATRC
$46.4T0.5%-40.7%
86
ALKT
$45.8T0.5%-34.6%
87
PRCT
$45.3T0.5%+0.2%
88
PLMR
$44.8T0.5%-18.6%
89
CBCNEW
$42.2T0.4%
90
OS
$38.9T0.4%-26.7%
91
MNST
$38.7T0.4%-64.2%
92
NVT
$38.6T0.4%-78.8%
93
GKOS
$37.6T0.4%-7.0%
94
RLI
$37.5T0.4%-7.5%
95
VCEL
$37.0T0.4%+4.2%
96
RBC
$36.3T0.4%-41.4%
97
KRMNNEW
$35.7T0.4%
98
PJT
$35.6T0.4%-48.5%
99
BRKR
$35.4T0.4%+125.1%
100
SNEX
$35.1T0.4%-33.6%
101
MOD
$34.9T0.4%-54.0%
102
MMSINEW
$32.4T0.3%
103
VVV
$31.1T0.3%-28.1%
104
WTS
$30.3T0.3%-44.6%
105
SXT
$30.0T0.3%-11.9%
106
GABC
$29.8T0.3%-41.2%
107
VCYT
$29.0T0.3%-41.0%
108
BRC
$28.8T0.3%-48.2%
109
MZTI
$28.3T0.3%-37.7%
110
PHR
$27.2T0.3%-39.9%
111
SYBT
$26.5T0.3%-38.2%
112
RALNEW
$25.7T0.3%
113
BANF
$25.5T0.3%-22.9%
114
CAINEW
$25.3T0.3%
115
CELH
$24.6T0.2%-39.1%
116
SIBN
$22.0T0.2%-47.1%
117
BRBR
$19.6T0.2%-42.8%
118
OSW
$19.3T0.2%-39.4%
119
AMSF
$18.9T0.2%-37.8%
120
INSP
$18.7T0.2%-50.1%
121
MKTXNEW
$18.7T0.2%
122
EATNEW
$18.1T0.2%
123
SHAK
$17.4T0.2%-24.1%
124
FWRG
$17.2T0.2%-40.8%
125
STVN
$16.1T0.2%-36.9%
126
VERX
$14.8T0.1%-63.9%
127
TRNS
$13.7T0.1%-55.8%
128
NOW
$294.9B0.0%+541.7%

Showing 128 of 128 positions

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Stocks in Common

Most Crowded Holdings

EW
held by 1306 of top 20088.2% institutional
GWW
held by 1226 of top 20078.7% institutional
MSCI
held by 1065 of top 20093.7% institutional
MTD
held by 835 of top 20099.0% institutional

Holdings reflect 13F filings with the SEC — quarterly disclosures required of institutional managers with $100M+ in AUM. Positions are as of quarter-end and may have changed significantly since filing. See full disclaimer.