TCM

Tygh Capital Management Portfolio holdings

AUM $782M
1-Year Return 39.44%
This Quarter Return
+3.3%
1 Year Return
+39.44%
3 Year Return
+251.65%
5 Year Return
+418.54%
10 Year Return
AUM
$470M
AUM Growth
-$21.6M
Cap. Flow
-$31.7M
Cap. Flow %
-6.74%
Top 10 Hldgs %
18.5%
Holding
140
New
26
Increased
35
Reduced
55
Closed
24

Sector Composition

1 Industrials 22.17%
2 Healthcare 14.83%
3 Technology 14.34%
4 Consumer Discretionary 14.18%
5 Materials 3.49%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TRIB
76
Trinity Biotech
TRIB
$4.25M
$3.15M 0.67%
+27,384
New +$3.15M
MDVN
77
DELISTED
MEDIVATION, INC.
MDVN
$3.11M 0.66%
80,562
+67,630
+523% +$2.61M
THRM icon
78
Gentherm
THRM
$1.09B
$3.01M 0.64%
+67,682
New +$3.01M
BRDR
79
DELISTED
BODERFREE INC COM
BRDR
$3.01M 0.64%
+181,424
New +$3.01M
HAYN
80
DELISTED
Haynes International, Inc.
HAYN
$2.82M 0.6%
+49,819
New +$2.82M
ININ
81
DELISTED
Interactive Intelligence Group, inc.
ININ
$2.67M 0.57%
47,616
-3,005
-6% -$169K
ASGN icon
82
ASGN Inc
ASGN
$2.31B
$2.51M 0.53%
+70,603
New +$2.51M
DXYN
83
DELISTED
Dixie Group Inc
DXYN
$2.44M 0.52%
230,564
+80,990
+54% +$858K
NDLS icon
84
Noodles & Co
NDLS
$32.5M
$2.28M 0.48%
66,253
-76,088
-53% -$2.62M
LRCX icon
85
Lam Research
LRCX
$127B
$2.13M 0.45%
315,100
-33,610
-10% -$227K
SYNT
86
DELISTED
Syntel Inc
SYNT
$2.08M 0.44%
+48,380
New +$2.08M
RNET
87
DELISTED
RigNet, Inc.
RNET
$2.05M 0.44%
38,085
+13,597
+56% +$732K
APOG icon
88
Apogee Enterprises
APOG
$928M
$1.93M 0.41%
+55,261
New +$1.93M
FNGN
89
DELISTED
Financial Engines, Inc.
FNGN
$1.85M 0.39%
+40,893
New +$1.85M
WCN icon
90
Waste Connections
WCN
$46.7B
$1.83M 0.39%
56,441
+8,256
+17% +$267K
JLL icon
91
Jones Lang LaSalle
JLL
$14.4B
$1.82M 0.39%
14,419
-218
-1% -$27.5K
MTZ icon
92
MasTec
MTZ
$14.3B
$1.8M 0.38%
58,298
-50,063
-46% -$1.54M
OII icon
93
Oceaneering
OII
$2.48B
$1.72M 0.37%
22,062
+6,288
+40% +$491K
RESI
94
DELISTED
Front Yard Residential Corporation Common Stock
RESI
$1.67M 0.36%
64,321
-4,056
-6% -$106K
SIRO
95
DELISTED
SIRONA DENTAL SYSTEMS INC COM STK
SIRO
$1.63M 0.35%
19,741
-299
-1% -$24.7K
PANW icon
96
Palo Alto Networks
PANW
$129B
$1.61M 0.34%
+115,374
New +$1.61M
EVHC
97
DELISTED
Envision Healthcare Holdings Inc
EVHC
$1.61M 0.34%
14,940
+2,773
+23% +$298K
ENT
98
DELISTED
Global Eagle Entertainment Inc.
ENT
$1.59M 0.34%
5,142
+109
+2% +$33.8K
KONA
99
DELISTED
Kona Grill, Inc.
KONA
$1.53M 0.32%
+78,607
New +$1.53M
PRGN
100
DELISTED
PARAGON SHIPPING INC CL A NEW (MHL)
PRGN
$1.45M 0.31%
6,470
-365
-5% -$82K