Tygh Capital Management, Inc. - Q1 2019 holdings

$569 Million is the total value of Tygh Capital Management, Inc.'s 80 reported holdings in Q1 2019. The portfolio turnover from Q4 2018 to Q1 2019 was 38.1% .

 Value Shares↓ Weighting
WMGI BuyWRIGHT MEDICAL GROUP NV$16,399,000
+34.2%
521,415
+16.2%
2.88%
+12.7%
RP BuyREALPAGE INC$14,574,000
+48.8%
240,132
+18.1%
2.56%
+24.9%
BIO NewBIO-RAD LABRATORIES-CL A$12,812,00041,913
+100.0%
2.25%
TECH BuyBIO TECHNE CORP$12,494,000
+65.8%
62,927
+20.9%
2.20%
+39.2%
GWRE BuyGUIDEWIRE SOFTWARE INC$12,312,000
+131.6%
126,718
+91.3%
2.16%
+94.4%
GTLS BuyCHART INDUSTRIES INC$12,183,000
+42.4%
134,591
+2.3%
2.14%
+19.5%
CWST BuyCASELLA WASTE SYSTEMS INC A$11,822,000
+26.4%
332,442
+1.3%
2.08%
+6.1%
WSC BuyWILLSCOT CORPORATION CLASS A$11,101,000
+72.7%
1,000,952
+46.7%
1.95%
+44.9%
WEX BuyWEX INC$10,659,000
+56.3%
55,518
+14.0%
1.87%
+31.2%
VAC BuyMARRIOTT VACATIONS WORLDWIDE C$10,102,000
+55.7%
108,038
+17.4%
1.78%
+30.7%
PWR BuyQUANTA SERVICES INC$9,918,000
+25.4%
262,798
+0.0%
1.74%
+5.3%
PRAH BuyPRA HEALTH SCIENCES INC$9,912,000
+20.0%
89,868
+0.0%
1.74%
+0.6%
KEX BuyKIRBY CORPORATION$9,765,000
+60.1%
130,006
+43.5%
1.72%
+34.3%
ATSG BuyAIR TRANSPORT SERVICES GROUP$9,735,000
+11.8%
422,339
+10.6%
1.71%
-6.2%
CLH NewCLEAN HARBORS INC$9,660,000135,052
+100.0%
1.70%
OFIX BuyORTHOFIX MEIDCAL INC$9,533,000
+7.5%
168,997
+0.0%
1.68%
-9.7%
XBI BuySPDR S&P BIOTECH ETF$9,273,000
+106.5%
102,421
+63.7%
1.63%
+73.4%
MOD BuyMODINE MANUFACTURING CO$8,996,000
+48.8%
648,624
+16.0%
1.58%
+24.9%
BFAM BuyBRIGHT HORIZONS FAMILY SOLUT$8,764,000
+14.1%
68,947
+0.0%
1.54%
-4.2%
ASGN BuyASGN INC$8,710,000
+70.2%
137,193
+46.1%
1.53%
+42.8%
FSCT BuyFORESCOUT TECHNOLOGIES INC$8,615,000
+103.0%
205,559
+25.9%
1.51%
+70.3%
NEWR BuyNEW RELIC INC$8,363,000
+110.3%
84,735
+72.6%
1.47%
+76.5%
MSA BuyMSA SAFETY INC$8,331,000
+9.7%
80,567
+0.0%
1.46%
-7.9%
HEES BuyH&E EQUIPMENT SERVICES INC$8,220,000
+63.0%
327,374
+32.5%
1.44%
+36.8%
RGEN BuyREPLIGEN CORP$8,002,000
+12.0%
135,450
+0.0%
1.41%
-5.9%
DK BuyDELEK US HOLDINGS INC$7,857,000
+12.1%
215,722
+0.0%
1.38%
-5.9%
VIAV BuyVIAVI SOLUTIONS INC$7,745,000
+32.3%
625,612
+7.4%
1.36%
+11.0%
CACI BuyCACI INTERNATIONAL INC CL A$7,527,000
+26.4%
41,352
+0.0%
1.32%
+6.1%
G BuyGENPACT LIMITED$7,405,000
+39.5%
210,494
+7.0%
1.30%
+17.1%
WAL BuyWESTERN ALLIANCE BANCORP$7,205,000
+34.0%
175,572
+28.9%
1.27%
+12.4%
AIN BuyALBANY INTL CORP CL A$6,978,000
+72.0%
97,478
+50.0%
1.23%
+44.4%
GWR BuyGENESEE & WYOMING INC$6,444,000
+17.7%
73,954
+0.0%
1.13%
-1.1%
PS BuyPLURALSIGHT INC A$6,355,000
+44.6%
200,205
+7.2%
1.12%
+21.3%
POOL NewPOOL CORP$6,230,00037,764
+100.0%
1.10%
ALG NewALAMO GROUP INC$6,000,00060,034
+100.0%
1.06%
TDOC BuyTELADOC HEALTH INC$5,387,000
+33.9%
96,889
+19.4%
0.95%
+12.5%
GVA NewGRANITE CONSTRUCTION INC$5,354,000124,070
+100.0%
0.94%
TRHC BuyTABULA RASA HEALTHCARE INC$5,301,000
+169.8%
93,957
+204.9%
0.93%
+126.2%
OLED BuyUNIVERSAL DISPLAY CORPORATION$5,287,000
+63.4%
34,591
+0.0%
0.93%
+37.0%
HSC NewHARSCO CORPORATION$5,144,000255,170
+100.0%
0.90%
DIN NewDINE BRANDS GLOBAL INC$5,064,00055,476
+100.0%
0.89%
AIR NewAAR CORP$5,028,000154,661
+100.0%
0.88%
SILC BuySILICOM LTD$4,859,000
+42.1%
127,044
+29.8%
0.85%
+19.3%
OMCL BuyOMNICELL INC$4,645,000
+156.9%
57,458
+94.6%
0.82%
+115.3%
MKSI NewMKS INSTRUMENTS, INC.$4,603,00049,468
+100.0%
0.81%
ALTR NewALTAIR ENGINEERING INC$4,296,000116,714
+100.0%
0.76%
HQY BuyHEALTHEQUITY INC$4,292,000
+73.8%
58,015
+40.1%
0.75%
+45.8%
CHDN NewCHURCHILL DOWNS INC$4,048,00044,853
+100.0%
0.71%
BC BuyBRUNSWICK CORP$3,898,000
+8.4%
77,451
+0.0%
0.68%
-9.0%
ROG NewROGERS CORP$3,871,00024,367
+100.0%
0.68%
ROAD BuyCONSTRUCTION PARTNERS INC A$3,622,000
+44.6%
283,660
+0.0%
0.64%
+21.6%
CLB NewCORE LABORATORIES NV$3,140,00045,556
+100.0%
0.55%
MTDR BuyMATADOR RESOURCES CO$2,690,000
+87.3%
139,170
+50.5%
0.47%
+57.1%
CDLX NewCARDLYTICS INC$2,488,000150,447
+100.0%
0.44%
PUMP BuyPROPETRO HOLDING CORP$2,452,000
+83.0%
108,766
+0.0%
0.43%
+53.4%
PTEN BuyPATTERSON UTI ENERGY COM$1,806,000
+35.5%
128,818
+0.0%
0.32%
+13.6%
BOX NewBOX INC CLASS A$1,732,00089,711
+100.0%
0.30%
CEVA NewCEVA INC$1,627,00060,359
+100.0%
0.29%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2019-05-01
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
QUANTA SERVICES INC28Q4 20211.9%
ICON PLC27Q4 20213.1%
MASTEC INC24Q4 20193.0%
SPDR S&P BIOTECH ETF24Q4 20211.8%
NICE SYSTEMS LTD SPONS ADR23Q4 20202.4%
H&E EQUIPMENT SERVICES INC23Q4 20212.9%
LITTELFUSE INC23Q4 20212.0%
KINSALE CAPITAL GROUP INC22Q4 20214.1%
TOWER SEMICONDUCTOR LTD22Q4 20213.2%
WESTERN ALLIANCE BANCORP22Q4 20213.2%

View Tygh Capital Management, Inc.'s complete holdings history.

Latest significant ownerships (13-D/G)
Tygh Capital Management, Inc. Q1 2019 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
SUN HEALTHCARE GROUP INCFebruary 09, 201044.0%
SUPERTEX INCFebruary 10, 200944.0%
LADISH CO INCFebruary 07, 200844.0%
NOVATEL INCFebruary 07, 200844.0%

View Tygh Capital Management, Inc.'s complete significant-ownership history.

Latest filings
TypeFiled
13F-HR2022-02-10
13F-HR2021-11-02
13F-HR2021-08-11
13F-HR2021-05-10
13F-HR2021-02-08
13F-HR2020-11-05
13F-HR2020-08-05
13F-HR2020-04-29
13F-HR2020-02-04
13F-HR2019-11-05

View Tygh Capital Management, Inc.'s complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (568903000.0 != 568896000.0)

Export Tygh Capital Management, Inc.'s holdings