Top Funds / Bares Capital Management, Inc.


Brian Bares

2013Q1 Portfolio

SEC 13F Filing

Position #Shares $Value %
Interactive Intelligence Group, Inc. 2,021,483 $89,652,000 11.52%
AMERICAN PUBLIC EDUCATION INC 1,836,318 $64,069,000 8.23%
Reald Inc 4,697,775 $61,071,000 7.85%
Colfax CORP 1,224,085 $56,968,000 7.32%
INTL FCSTONE INC. 3,142,155 $54,704,000 7.03%
WINMARK CORP 836,300 $52,678,000 6.77%
Corporate Executive Board 808,306 $47,011,000 6.04%
ENERPAC TOOL GROUP CORP CL A 1,353,014 $41,429,000 5.32%
MASIMO CORP 2,095,534 $41,114,000 5.28%
MIDDLEBY CORP 252,794 $38,462,000 4.94%
VERU INC. 4,124,023 $29,857,000 3.84%
HEICO CORP CL A 603,762 $20,715,000 2.66%
UTAH MEDICAL PRODUCTS INC 422,847 $20,622,000 2.65%
TRAVELZOO 931,393 $19,903,000 2.56%
XPO Logistics, Inc. 1,167,924 $19,667,000 2.53%
HALLMARK FINANCIAL SERVICES INC 1,904,198 $17,137,000 2.20%
ILG, LLC 586,031 $12,740,000 1.64%
Morningstar, Inc. 166,543 $11,644,000 1.50%
TANDY LEATHER FACTORY INC 1,634,863 $11,640,000 1.50%
STAMPS.COM INC 446,504 $11,149,000 1.43%
Cherokee Inc 727,769 $9,970,000 1.28%
Omega Flex, Inc. 547,009 $9,403,000 1.21%
Reis Inc 207,200 $3,219,000 0.41%
Berkshire Hathaway Inc B CL B 17,981 $1,873,000 0.24%
CONOCOPHILLIPS 30,000 $1,803,000 0.23%