TC

TFS Capital Portfolio holdings

AUM $255M
1-Year Return 32.32%
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
-$53M
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
KVHI icon
501
KVH Industries
KVHI
$116M
$149K 0.06%
15,723
-28,685
-65% -$272K
NRK icon
502
Nuveen New York AMT-Free Quality Municipal Income Fund
NRK
$842M
$147K 0.06%
+11,241
New +$147K
CPIX icon
503
Cumberland Pharmaceuticals
CPIX
$49.5M
$146K 0.06%
20,896
+9,397
+82% +$65.7K
RELL icon
504
Richardson Electronics
RELL
$141M
$146K 0.06%
24,535
+5,952
+32% +$35.4K
NAII icon
505
Natural Alternatives International
NAII
$22.2M
$143K 0.06%
+14,357
New +$143K
FORM icon
506
FormFactor
FORM
$2.26B
$141K 0.06%
+11,370
New +$141K
WTI icon
507
W&T Offshore
WTI
$261M
$140K 0.05%
+71,443
New +$140K
LWAY icon
508
Lifeway Foods
LWAY
$474M
$138K 0.05%
14,756
+457
+3% +$4.27K
BWG
509
BrandywineGLOBAL Global Income Opportunities Fund
BWG
$147M
$137K 0.05%
10,383
-1,193
-10% -$15.7K
CVGI icon
510
Commercial Vehicle Group
CVGI
$68.1M
$137K 0.05%
16,260
-71,502
-81% -$602K
COVS
511
DELISTED
Covisint Corporation
COVS
$137K 0.05%
+55,958
New +$137K
DALN icon
512
DallasNews
DALN
$79.5M
$136K 0.05%
6,175
+1,354
+28% +$29.8K
NCMI icon
513
National CineMedia
NCMI
$411M
$136K 0.05%
+1,832
New +$136K
SMM
514
DELISTED
Salient Midstream & MLP Fund
SMM
$136K 0.05%
+11,621
New +$136K
OOMA icon
515
Ooma
OOMA
$346M
$134K 0.05%
16,804
-60,363
-78% -$481K
HMTV
516
DELISTED
Hemisphere Media Group, Inc.
HMTV
$134K 0.05%
+11,328
New +$134K
HSTO
517
DELISTED
Histogen Inc. Common Stock
HSTO
$134K 0.05%
+116
New +$134K
CYH icon
518
Community Health Systems
CYH
$409M
$132K 0.05%
13,290
-5,133
-28% -$51K
WIN
519
DELISTED
Windstream Holdings Inc
WIN
$132K 0.05%
+6,810
New +$132K
RXDX
520
DELISTED
Ignyta, Inc.
RXDX
$131K 0.05%
12,697
-19,789
-61% -$204K
EDGW
521
DELISTED
Edgewater Technology Inc
EDGW
$130K 0.05%
+19,121
New +$130K
HOV icon
522
Hovnanian Enterprises
HOV
$908M
$129K 0.05%
+1,847
New +$129K
HDNG
523
DELISTED
Hardinge Inc
HDNG
$128K 0.05%
+10,278
New +$128K
CORT icon
524
Corcept Therapeutics
CORT
$7.31B
$126K 0.05%
+10,692
New +$126K
SKIS
525
DELISTED
Peak Resorts, Inc.
SKIS
$126K 0.05%
30,847
+19,854
+181% +$81.1K