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
TEN
76
DELISTED
Tenneco Inc. Class A Voting Common Stock
TEN
$884K 0.35% 15,279 +11,567 +312% +$669K
MNTA
77
DELISTED
Momenta Pharmaceuticals, Inc.
MNTA
$884K 0.35% 52,290 -35,087 -40% -$593K
QADA
78
DELISTED
QAD Inc.
QADA
$882K 0.35% +27,532 New +$882K
ANGO icon
79
AngioDynamics
ANGO
$417M
$881K 0.35% 54,355 +3,982 +8% +$64.5K
CNMD icon
80
CONMED
CNMD
$1.68B
$881K 0.35% +17,294 New +$881K
SCMP
81
DELISTED
Sucampo Pharmaceuticals, Inc.
SCMP
$879K 0.34% +83,694 New +$879K
MSA icon
82
Mine Safety
MSA
$6.68B
$877K 0.34% 10,807 -5,899 -35% -$479K
CW icon
83
Curtiss-Wright
CW
$18B
$874K 0.34% 9,521 -1,332 -12% -$122K
SYNH
84
DELISTED
Syneos Health, Inc. Class A Common Stock
SYNH
$869K 0.34% +14,851 New +$869K
CAL icon
85
Caleres
CAL
$507M
$866K 0.34% +31,190 New +$866K
FOSL icon
86
Fossil Group
FOSL
$165M
$863K 0.34% +83,400 New +$863K
POLY
87
DELISTED
Plantronics, Inc.
POLY
$863K 0.34% +16,503 New +$863K
CNXN icon
88
PC Connection
CNXN
$1.63B
$857K 0.34% +31,681 New +$857K
ENS icon
89
EnerSys
ENS
$3.85B
$856K 0.34% 11,821 -1,770 -13% -$128K
HRG
90
DELISTED
HRG Group, Inc.
HRG
$853K 0.33% 48,156 -8,113 -14% -$144K
RAIL icon
91
FreightCar America
RAIL
$163M
$847K 0.33% 48,715 +15,320 +46% +$266K
SBCF icon
92
Seacoast Banking Corp of Florida
SBCF
$2.73B
$847K 0.33% +35,165 New +$847K
TECD
93
DELISTED
Tech Data Corp
TECD
$846K 0.33% 8,380 -2,563 -23% -$259K
PCRX icon
94
Pacira BioSciences
PCRX
$1.2B
$838K 0.33% +17,575 New +$838K
EIGI
95
DELISTED
Endurance International Group Holdings, Inc.
EIGI
$837K 0.33% +100,231 New +$837K
EVRI
96
DELISTED
Everi Holdings
EVRI
$837K 0.33% 114,969 -165,328 -59% -$1.2M
VCYT icon
97
Veracyte
VCYT
$2.39B
$837K 0.33% 100,467 -7,054 -7% -$58.8K
TXRH icon
98
Texas Roadhouse
TXRH
$11.5B
$834K 0.33% +16,362 New +$834K
BBBY
99
Bed Bath & Beyond, Inc.
BBBY
$517M
$833K 0.33% +51,082 New +$833K
PDLI
100
DELISTED
PDL BioPharma, Inc.
PDLI
$824K 0.32% +333,728 New +$824K