TCM

Tygh Capital Management Portfolio holdings

AUM $782M
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
SWKS icon
1
Skyworks Solutions
SWKS
$11.1B
$12.8M 2.83% +582,571 New +$12.8M
TFM
2
DELISTED
THE FRESH MARKET, INC COM STK
TFM
$11.7M 2.6% +236,056 New +$11.7M
DWRE
3
DELISTED
DEMANDWARE INC COM STK (DE)
DWRE
$11M 2.43% +258,309 New +$11M
EME icon
4
Emcor
EME
$27.8B
$10.3M 2.28% +252,749 New +$10.3M
MD icon
5
Pediatrix Medical
MD
$1.5B
$9.56M 2.12% +104,341 New +$9.56M
HOS
6
DELISTED
Hornbeck Offshore Services, Inc.
HOS
$8.66M 1.92% +161,767 New +$8.66M
AMG icon
7
Affiliated Managers Group
AMG
$6.39B
$8.24M 1.83% +50,240 New +$8.24M
CSOD
8
DELISTED
Cornerstone OnDemand, Inc.
CSOD
$8.09M 1.8% +186,915 New +$8.09M
ICLR icon
9
Icon
ICLR
$13.8B
$8.06M 1.79% +227,487 New +$8.06M
CTRX
10
DELISTED
CATAMARAN CORP COM STK (CDA)
CTRX
$7.57M 1.68% +155,159 New +$7.57M
PCRX icon
11
Pacira BioSciences
PCRX
$1.2B
$7.54M 1.67% +260,112 New +$7.54M
SPLK
12
DELISTED
Splunk Inc
SPLK
$7.12M 1.58% +153,677 New +$7.12M
GWR
13
DELISTED
Genesee & Wyoming Inc.
GWR
$7.07M 1.57% +83,314 New +$7.07M
CPHD
14
DELISTED
Cepheid Inc
CPHD
$6.81M 1.51% +197,692 New +$6.81M
GEOS icon
15
Geospace Technologies
GEOS
$254M
$6.8M 1.51% +98,401 New +$6.8M
DKS icon
16
Dick's Sporting Goods
DKS
$17B
$6.76M 1.5% +135,002 New +$6.76M
VPHM
17
DELISTED
VIROPHARMA INC
VPHM
$6.42M 1.42% +223,932 New +$6.42M
AMSF icon
18
AMERISAFE
AMSF
$877M
$6.39M 1.42% +197,392 New +$6.39M
LCII icon
19
LCI Industries
LCII
$2.56B
$6.35M 1.41% +161,498 New +$6.35M
TRAK
20
DELISTED
DEALERTRACK TECHNOLOGIES, INC. COM STK
TRAK
$6.03M 1.34% +170,225 New +$6.03M
SBAC icon
21
SBA Communications
SBAC
$22B
$6.01M 1.33% +81,032 New +$6.01M
ESC
22
DELISTED
EMERITUS CORP
ESC
$5.96M 1.32% +257,204 New +$5.96M
PKT
23
DELISTED
PROCERA NETWORKS INC NEW COM STK (DE)
PKT
$5.88M 1.3% +427,880 New +$5.88M
BRY
24
DELISTED
BERRY PETROLEUM CO CL A
BRY
$5.85M 1.3% +138,204 New +$5.85M
POOL icon
25
Pool Corp
POOL
$11.6B
$5.84M 1.29% +111,332 New +$5.84M