Tygh Capital Management, Inc. - Q3 2019 holdings

$563 Million is the total value of Tygh Capital Management, Inc.'s 77 reported holdings in Q3 2019. The portfolio turnover from Q2 2019 to Q3 2019 was 45.6% .

 Value Shares↓ Weighting
KNSL SellKINSALE CAPITAL GROUP INC$21,791,000
-8.7%
210,929
-19.2%
3.87%
-4.6%
CLH SellCLEAN HARBORS INC$16,555,000
+8.4%
214,447
-0.2%
2.94%
+13.3%
WSC SellWILLSCOT CORPORATION CLASS A$16,154,000
+3.4%
1,036,874
-0.2%
2.87%
+8.1%
EBS BuyEMERGENT BIOSOLUTIONS INC$15,605,000
+236.6%
298,488
+211.1%
2.77%
+252.0%
BIO SellBIO-RAD LABRATORIES-CL A$14,316,000
+6.3%
43,026
-0.2%
2.54%
+11.1%
MTZ BuyMASTEC INC$13,631,000
+159.5%
209,935
+106.0%
2.42%
+171.3%
HMSY BuyHMS HOLDINGS CORP$13,166,000
+28.7%
382,013
+21.0%
2.34%
+34.5%
PRAH BuyPRA HEALTH SCIENCES INC$12,859,000
+116.1%
129,590
+116.0%
2.28%
+125.8%
CACI BuyCACI INTERNATIONAL INC CL A$12,838,000
+54.0%
55,512
+36.2%
2.28%
+60.9%
SKY NewSKYLINE CHAMPION CORP$12,546,000416,936
+100.0%
2.23%
HEES BuyH&E EQUIPMENT SERVICES INC$12,431,000
+8.9%
430,741
+9.8%
2.21%
+13.8%
GTLS SellCHART INDUSTRIES INC$11,808,000
-19.0%
189,356
-0.2%
2.10%
-15.4%
G BuyGENPACT LIMITED$11,702,000
+26.3%
301,994
+24.2%
2.08%
+32.1%
RGEN SellREPLIGEN CORP$11,582,000
-10.9%
151,028
-0.2%
2.06%
-6.9%
ALG BuyALAMO GROUP INC$10,838,000
+26.4%
92,068
+7.3%
1.92%
+32.1%
TECH SellBIO TECHNE CORP$10,346,000
-20.0%
52,877
-14.7%
1.84%
-16.3%
PWR NewQUANTA SERVICES INC$10,308,000272,693
+100.0%
1.83%
EAT NewBRINKER INTERNATIONAL INC$9,888,000231,729
+100.0%
1.76%
ASGN SellASGN INC$9,504,000
+3.6%
151,187
-0.2%
1.69%
+8.2%
RP SellREALPAGE INC$9,491,000
+6.7%
150,984
-0.1%
1.68%
+11.5%
VAC SellMARRIOTT VACATIONS WORLDWIDE C$9,476,000
-7.8%
91,454
-14.2%
1.68%
-3.7%
NICE SellNICE SYSTEMS LTD SPONS ADR$9,169,000
+4.8%
63,762
-0.2%
1.63%
+9.6%
CVCO BuyCAVCO INDUSTRIES INC$9,142,000
+53.3%
47,593
+25.7%
1.62%
+60.2%
CRL BuyCHARLES RIVER LABORATORIES$8,903,000
+103.1%
67,261
+117.7%
1.58%
+112.5%
CWST SellCASELLA WASTE SYSTEMS INC A$8,808,000
-30.3%
205,119
-35.6%
1.56%
-27.1%
OMCL BuyOMNICELL INC$8,808,000
+30.8%
121,877
+55.7%
1.56%
+36.7%
VIAV BuyVIAVI SOLUTIONS INC$8,728,000
+44.4%
623,213
+37.0%
1.55%
+50.9%
TTD SellTRADE DESK INC CLASS A$8,073,000
-32.3%
43,047
-17.8%
1.43%
-29.3%
GWR SellGENESEE & WYOMING INC$8,041,000
+10.3%
72,762
-0.2%
1.43%
+15.3%
WAL SellWESTERN ALLIANCE BANCORP$7,960,000
+2.9%
172,739
-0.2%
1.41%
+7.5%
TYL BuyTYLER TECHNOLOGIES INC$7,623,000
+77.4%
29,040
+46.0%
1.35%
+85.3%
EEFT SellEURONET WORLDWIDE INC$7,584,000
-46.3%
51,838
-38.3%
1.35%
-43.9%
OFIX SellORTHOFIX MEIDCAL INC$7,431,000
-15.6%
140,154
-15.9%
1.32%
-11.8%
WEX SellWEX INC$7,261,000
-3.1%
35,934
-0.2%
1.29%
+1.3%
OSW BuyONESPAWORLD HOLDINGS LTD$7,226,000
+59.1%
465,274
+58.8%
1.28%
+66.2%
TDOC  TELADOC HEALTH INC$7,208,000
+2.0%
106,4420.0%1.28%
+6.6%
WNS NewWNS HOLDINGS LTD ADR$6,940,000118,134
+100.0%
1.23%
STRL SellSTERLING CONSTRUCTION CO$6,836,000
-2.2%
519,826
-0.2%
1.21%
+2.3%
FSCT SellFORESCOUT TECHNOLOGIES INC$6,660,000
-2.9%
175,627
-13.3%
1.18%
+1.5%
SEAS BuySEAWORLD ENTERTAINMENT INC$6,470,000
+223.8%
245,826
+281.3%
1.15%
+238.9%
LSCC SellLATTICE SEMICONDUCTOR CORP$6,295,000
-2.2%
344,280
-22.0%
1.12%
+2.3%
MMS NewMAXIMUS INC$6,202,00080,268
+100.0%
1.10%
ALTR SellALTAIR ENGINEERING INC$6,059,000
-38.2%
175,002
-28.0%
1.08%
-35.5%
KEX SellKIRBY CORPORATION$5,966,000
+1.3%
72,615
-2.6%
1.06%
+5.9%
CHDN SellCHURCHILL DOWNS INC$5,839,000
-22.7%
47,296
-28.0%
1.04%
-19.2%
CMD NewCANTEL MEDICAL CORP$5,784,00077,320
+100.0%
1.03%
GWRE SellGUIDEWIRE SOFTWARE INC$5,681,000
-54.9%
53,912
-56.7%
1.01%
-52.9%
NSP NewINSPERITY INC$5,660,00057,390
+100.0%
1.00%
WWE NewWORLD WRESTLING ENTERTAINMENT,$5,649,00079,396
+100.0%
1.00%
AIN SellALBANY INTL CORP CL A$5,468,000
+8.6%
60,647
-0.2%
0.97%
+13.4%
MRCY NewMERCURY SYSTEMS INC$5,204,00064,118
+100.0%
0.92%
MPWR NewMONOLITHIC POWER SYSTEMS INC$4,815,00030,940
+100.0%
0.86%
NTRA BuyNATERA INC$4,713,000
+59.0%
143,693
+33.7%
0.84%
+66.4%
LFUS SellLITTELFUSE INC$4,503,000
-35.1%
25,398
-35.3%
0.80%
-32.2%
MKSI SellMKS INSTRUMENTS, INC.$4,383,000
-7.7%
47,495
-22.1%
0.78%
-3.6%
ATSG SellAIR TRANSPORT SERVICES GROUP$4,308,000
-28.7%
204,949
-17.2%
0.76%
-25.4%
PEGA NewPEGASYSTEMS INC$4,299,00063,169
+100.0%
0.76%
TSEM NewTOWER SEMICONDUCTOR LTD$4,264,000221,624
+100.0%
0.76%
SITE SellSITEONELANDSCAPE SUPPLY INC$4,256,000
-16.2%
57,495
-21.6%
0.76%
-12.4%
STRA SellSTRATEGIC EDUCATION INC$4,111,000
-71.5%
30,254
-62.6%
0.73%
-70.2%
CDLX SellCARDLYTICS INC$4,073,000
-11.1%
121,498
-31.1%
0.72%
-7.1%
NSSC NewNAPCO SECURITY TECHNOLOGIES$3,928,000153,937
+100.0%
0.70%
VCRA NewVOCERA COMMUNICATIONS INC$3,870,000157,000
+100.0%
0.69%
HQY SellHEALTHEQUITY INC$3,339,000
-33.4%
58,435
-23.7%
0.59%
-30.3%
LGND SellLIGAND PHARMACEUTICALS$3,260,000
-52.3%
32,748
-45.3%
0.58%
-50.1%
RTEC NewRUDOLPH TECHNOLOGIES INC$3,158,000119,811
+100.0%
0.56%
ROAD SellCONSTRUCTION PARTNERS INC A$3,021,000
-28.0%
193,877
-30.6%
0.54%
-24.8%
BFAM SellBRIGHT HORIZONS FAMILY SOLUT$2,896,000
-71.7%
18,989
-72.0%
0.51%
-70.5%
NGVT NewINGEVITY CORP$2,829,00033,348
+100.0%
0.50%
ROG SellROGERS CORP$2,783,000
-42.8%
20,360
-27.7%
0.49%
-40.2%
NEWR SellNEW RELIC INC$2,522,000
-78.9%
41,037
-70.3%
0.45%
-77.9%
MTDR SellMATADOR RESOURCES CO$2,263,000
-17.0%
136,922
-0.2%
0.40%
-13.2%
MDLA NewMEDALLIA INC$2,035,00074,177
+100.0%
0.36%
CLB SellCORE LABORATORIES NV$1,826,000
-11.0%
39,178
-0.2%
0.32%
-7.2%
DK SellDELEK US HOLDINGS INC$1,273,000
-75.2%
35,060
-72.4%
0.23%
-74.1%
HSC SellHARSCO CORPORATION$668,000
-92.5%
35,224
-89.2%
0.12%
-92.2%
MOD SellMODINE MANUFACTURING CO$360,000
-95.3%
31,691
-94.0%
0.06%
-95.0%
EOLS ExitEVOLUS INC$0-29,634
-100.0%
-0.07%
LASR ExitNLIGHT INC$0-61,165
-100.0%
-0.20%
PUMP ExitPROPETRO HOLDING CORP$0-107,191
-100.0%
-0.38%
PTEN ExitPATTERSON UTI ENERGY COM$0-227,068
-100.0%
-0.44%
DIOD ExitDIODES INC$0-88,259
-100.0%
-0.54%
GVA ExitGRANITE CONSTRUCTION INC$0-72,000
-100.0%
-0.59%
POOL ExitPOOL CORP$0-18,451
-100.0%
-0.60%
MMSI ExitMERIT MEDICAL SYSTEMS INC$0-74,590
-100.0%
-0.76%
TPIC ExitTPI COMPOSITES INC$0-182,545
-100.0%
-0.77%
AIMC ExitALTRA INDUSTRIAL MOTION CORP$0-128,710
-100.0%
-0.78%
ATI ExitALLEGHENY TECHNOLOGIES INC$0-188,050
-100.0%
-0.80%
LEXEA ExitLIBERTY EXPEDIA HOLD A$0-99,699
-100.0%
-0.81%
BAH ExitBOOZ ALLEN HAMILTON HOLDING$0-75,761
-100.0%
-0.85%
DIN ExitDINE BRANDS GLOBAL INC$0-54,674
-100.0%
-0.89%
TRHC ExitTABULA RASA HEALTHCARE INC$0-106,396
-100.0%
-0.90%
AIR ExitAAR CORP$0-152,429
-100.0%
-0.95%
MSA ExitMSA SAFETY INC$0-79,408
-100.0%
-1.42%
PS ExitPLURALSIGHT INC A$0-286,832
-100.0%
-1.48%
WMGI ExitWRIGHT MEDICAL GROUP NV$0-493,306
-100.0%
-2.50%
Original filings

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

  • View 13F-HR filed 2019-11-05
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. Q3 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 (563271000.0 != 563269000.0)

Export Tygh Capital Management, Inc.'s holdings