TC

TFS Capital Portfolio holdings

AUM $255M
This Quarter Return
+4.78%
1 Year Return
+32.32%
3 Year Return
+53.73%
5 Year Return
10 Year Return
AUM
$255M
AUM Growth
+$255M
Cap. Flow
-$58.7M
Cap. Flow %
-22.99%
Top 10 Hldgs %
4.95%
Holding
921
New
282
Increased
115
Reduced
203
Closed
319

Sector Composition

1 Healthcare 18.37%
2 Industrials 15.29%
3 Consumer Discretionary 13.06%
4 Technology 12.07%
5 Financials 7.76%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TDS icon
26
Telephone and Data Systems
TDS
$4.61B
$999K 0.39% 35,993 -13,185 -27% -$366K
PRIM icon
27
Primoris Services
PRIM
$6.4B
$997K 0.39% +39,956 New +$997K
RTEC
28
DELISTED
Rudolph Technologies Inc
RTEC
$994K 0.39% +43,516 New +$994K
JOUT icon
29
Johnson Outdoors
JOUT
$418M
$992K 0.39% 20,567 +2,105 +11% +$102K
HPP
30
Hudson Pacific Properties
HPP
$1.07B
$991K 0.39% 28,997 -14,321 -33% -$489K
GDDY icon
31
GoDaddy
GDDY
$20.5B
$990K 0.39% 23,333 +11,214 +93% +$476K
RDUS
32
DELISTED
Radius Recycling
RDUS
$990K 0.39% 39,285 +10,039 +34% +$253K
AHL
33
DELISTED
ASPEN Insurance Holding Limited
AHL
$990K 0.39% +19,853 New +$990K
GTS
34
DELISTED
Triple-S Management Corporation
GTS
$988K 0.39% +58,406 New +$988K
SHLM
35
DELISTED
Schulman (A.) Inc
SHLM
$982K 0.38% 30,701 +13,153 +75% +$421K
NXGN
36
DELISTED
NextGen Healthcare, Inc. Common Stock
NXGN
$979K 0.38% 56,914 -15,638 -22% -$269K
ODP icon
37
ODP
ODP
$610M
$973K 0.38% +172,460 New +$973K
SRGA
38
DELISTED
Surgalign Holdings, Inc. Common Stock
SRGA
$971K 0.38% 165,932 +123,800 +294% +$724K
HY icon
39
Hyster-Yale Materials Handling
HY
$665M
$968K 0.38% +13,786 New +$968K
COKE icon
40
Coca-Cola Consolidated
COKE
$10.2B
$965K 0.38% +4,217 New +$965K
ABG icon
41
Asbury Automotive
ABG
$4.95B
$964K 0.38% +17,055 New +$964K
MODG icon
42
Topgolf Callaway Brands
MODG
$1.76B
$963K 0.38% 75,334 -46,390 -38% -$593K
PFGC icon
43
Performance Food Group
PFGC
$15.9B
$963K 0.38% +35,147 New +$963K
FIBK icon
44
First Interstate BancSystem
FIBK
$3.43B
$961K 0.38% +25,842 New +$961K
SENEA icon
45
Seneca Foods Class A
SENEA
$777M
$960K 0.38% 30,919 +14,618 +90% +$454K
FGEN icon
46
FibroGen
FGEN
$47.8M
$954K 0.37% 29,522 -15,188 -34% -$491K
WEB
47
DELISTED
Web.com Group, Inc.
WEB
$954K 0.37% +37,723 New +$954K
RPXC
48
DELISTED
RPX Corporation
RPXC
$954K 0.37% 68,421 +37,178 +119% +$518K
NGS icon
49
Natural Gas Services Group
NGS
$328M
$952K 0.37% 38,310 +23,385 +157% +$581K
CTMX icon
50
CytomX Therapeutics
CTMX
$336M
$946K 0.37% 61,010 +46,703 +326% +$724K