TCM

Tygh Capital Management Portfolio holdings

AUM $782M
1-Year Return 39.44%
This Quarter Return
+7.66%
1 Year Return
+39.44%
3 Year Return
+251.65%
5 Year Return
+418.54%
10 Year Return
AUM
$451M
AUM Growth
Cap. Flow
+$451M
Cap. Flow %
100%
Top 10 Hldgs %
21.27%
Holding
114
New
114
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Industrials 19.87%
2 Technology 18.52%
3 Healthcare 13.4%
4 Consumer Discretionary 12.18%
5 Energy 5.66%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
KNGT
51
DELISTED
KNIGHT TRANSPORTATION INC
KNGT
$3.71M 0.82%
+220,652
New +$3.71M
XONE
52
DELISTED
The ExOne Company
XONE
$3.65M 0.81%
+59,170
New +$3.65M
SHOO icon
53
Steven Madden
SHOO
$2.17B
$3.61M 0.8%
+168,008
New +$3.61M
CYBX
54
DELISTED
CYBERONICS INC
CYBX
$3.6M 0.8%
+69,270
New +$3.6M
GPI icon
55
Group 1 Automotive
GPI
$6.15B
$3.55M 0.79%
+55,144
New +$3.55M
CTG
56
DELISTED
Computer Task Group, Inc.
CTG
$3.52M 0.78%
+153,258
New +$3.52M
SMTC icon
57
Semtech
SMTC
$5.12B
$3.49M 0.77%
+99,630
New +$3.49M
CEVA icon
58
CEVA Inc
CEVA
$526M
$3.48M 0.77%
+179,844
New +$3.48M
BJRI icon
59
BJ's Restaurants
BJRI
$748M
$3.48M 0.77%
+93,757
New +$3.48M
CLB icon
60
Core Laboratories
CLB
$588M
$3.43M 0.76%
+22,639
New +$3.43M
SZYM
61
DELISTED
SOLAZYME INC COM STK (DE)
SZYM
$3.41M 0.76%
+290,680
New +$3.41M
ANSS
62
DELISTED
Ansys
ANSS
$3.37M 0.75%
+46,087
New +$3.37M
EGHT icon
63
8x8 Inc
EGHT
$269M
$3.17M 0.7%
+385,081
New +$3.17M
TXTR
64
DELISTED
TEXTURA CORPORATION COM
TXTR
$3.16M 0.7%
+121,351
New +$3.16M
HEES
65
DELISTED
H&E Equipment Services
HEES
$3.14M 0.7%
+148,844
New +$3.14M
MTZ icon
66
MasTec
MTZ
$14.3B
$3.03M 0.67%
+92,155
New +$3.03M
HITT
67
DELISTED
HITTITE MICROWAVE CORP
HITT
$3.02M 0.67%
+52,042
New +$3.02M
TVTY
68
DELISTED
Tivity Health, Inc. Common Stock
TVTY
$3.01M 0.67%
+173,093
New +$3.01M
ELGX
69
DELISTED
Endologix Inc
ELGX
$2.94M 0.65%
+22,113
New +$2.94M
THRM icon
70
Gentherm
THRM
$1.09B
$2.89M 0.64%
+155,404
New +$2.89M
EXAS icon
71
Exact Sciences
EXAS
$9.89B
$2.7M 0.6%
+194,182
New +$2.7M
WWD icon
72
Woodward
WWD
$14.6B
$2.62M 0.58%
+65,392
New +$2.62M
ORN icon
73
Orion Group Holdings
ORN
$297M
$2.53M 0.56%
+209,317
New +$2.53M
FRX
74
DELISTED
FOREST LABORATORIES INC
FRX
$2.53M 0.56%
+61,706
New +$2.53M
MINI
75
DELISTED
Mobile Mini Inc
MINI
$2.41M 0.53%
+72,695
New +$2.41M