HoldingsChannel.com
Snyder Capital Management L P Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
ENTEGRIS INC. 2,383,800 -450,069 $106,723
     ENTG2,383,800-450,069$106,723
HALOZYME THERAPEUTICS INC. 3,393,057 -102,835 $61,041
     HALO3,393,057-102,835$61,041
EMERGENT BIOSOLUTIONS INC 1,031,859 -121,512 $59,703
     EBS1,031,859-121,512$59,703
HELEN OF TROY LTD. 398,388 -33,041 $57,380
     HELE398,388-33,041$57,380
KAR AUCTION SERVICES INC. 4,776,104 +252,016 $57,313
     KAR4,776,104+252,016$57,313
UGI CORP. 2,137,240 +533,871 $57,000
     UGI2,137,240+533,871$57,000
CLEAN HARBORS INC. 1,096,180 -32,888 $56,278
     CLH1,096,180-32,888$56,278
IAA INC. 1,868,041 -228,759 $55,967
     IAA1,868,041-228,759$55,967
INGREDION INC. 718,019 +12,641 $54,210
     INGR718,019+12,641$54,210
IDEX CORP. 382,292 -1,405 $52,798
     IEX382,292-1,405$52,798
BWX TECHNOLOGIES 1,051,675 +39,651 $51,227
     BWXT1,051,675+39,651$51,227
COPART INC. 744,644 -66,149 $51,023
     CPRT744,644-66,149$51,023
TELEDYNE INC. 163,819 -33,168 $48,698
     TDY163,819-33,168$48,698
WOODWARD INC. 801,073 -38,660 $47,616
     WWD801,073-38,660$47,616
GRACO INC. 937,094 -82,163 $45,665
     GGG937,094-82,163$45,665
CACI INTERNATIONAL 191,613 -4,285 $40,459
     CACI191,613-4,285$40,459
HEICO CORP CLASS A      $38,524
     HEI.A602,885-151,121$38,524
WASTE CONNECTIONS INC. 465,584 +462 $36,083
     WCN465,584+462$36,083
RBC BEARINGS INC. 316,954 -50,783 $35,749
     ROLL316,954-50,783$35,749
TCF FINANCIAL CORP 1,500,009 +69,054 $33,990
     TCF1,500,009+69,054$33,990
POWER INTEGRATIONS INC. 371,816 -46,240 $32,843
     POWI371,816-46,240$32,843
FMC CORP 386,378 +470 $31,563
     FMC386,378+470$31,563
RLI CORP. 323,882 -39,777 $28,479
     RLI323,882-39,777$28,479
CABOT CORP. 1,036,196 -89,819 $27,065
     CBT1,036,196-89,819$27,065
SYNOPSYS INC. 199,060 +1,122 $25,637
     SNPS199,060+1,122$25,637
CABOT MICROELECTRONICS 217,318 -26,710 $24,805
     CCMP217,318-26,710$24,805
PROSPERITY BANCSHARES INC. (PB) 491,245 -40,298 $23,703
     PB491,245-40,298$23,703
AMETEK INC. 316,299 +795 $22,780
     AME316,299+795$22,780
BRINK&apos S CO THE 403,194 +14,207 $20,986
     BCO403,194+14,207$20,986
AMPHENOL CORP. CL A 287,281 +464 $20,937
     APH287,281+464$20,937
COGNEX CORP 488,013 -60,340 $20,604
     CGNX488,013-60,340$20,604
CHARLES RIVER LABORATORIES 136,481 +21,242 $17,225
     CRL136,481+21,242$17,225
CATALENT INC. 328,876 +17,328 $17,085
     CTLT328,876+17,328$17,085
HOSTESS BRANDS INC. 1,587,093 -35,066 $16,918
     TWNK1,587,093-35,066$16,918
STERIS PLC 115,190 +8,071 $16,123
     STE115,190+8,071$16,123
MERCURY SYSTEMS INC. 225,745 -4,316 $16,105
     MRCY225,745-4,316$16,105
UNITED COMMUNITY BANKS INC. O 872,001 -107,350 $15,966
     UCBI872,001-107,350$15,966
SENSIENT TECHNOLOGIES CORP 365,793 -44,748 $15,916
     SXT365,793-44,748$15,916
SIMPSON MANUFACTURING 250,561 -109,734 $15,530
     SSD250,561-109,734$15,530
HENRY SCHEIN INC. 305,501 +306 $15,434
     HSIC305,501+306$15,434
DOLLAR TREE INC. 206,060 -28,950 $15,139
     DLTR206,060-28,950$15,139
AGILYSYS INC. 799,609 +89,556 $13,353
     AGYS799,609+89,556$13,353
DORMAN PRODUCTS INC. 240,935 -29,557 $13,316
     DORM240,935-29,557$13,316
KAMAN CORP 346,039 -45,589 $13,312
     KAMN346,039-45,589$13,312
KEYSIGHT TECHNOLOGIES 153,838 +901 $12,873
     KEYS153,838+901$12,873
PDF SOLUTIONS INC. 1,067,036 -129,927 $12,506
     PDFS1,067,036-129,927$12,506
LIGAND PHARMACEUTICALS 171,315 +171,315 $12,458
     LGND171,315+171,315$12,458
LKQ CORP 597,714 +3,333 $12,259
     LKQ597,714+3,333$12,259
COHERENT INC. 113,147 -13,451 $12,040
     COHR113,147-13,451$12,040
AVID BIOSERVICES INC. 2,280,905 +98,519 $11,655
     CDMO2,280,905+98,519$11,655

See Full List: All Stocks Held By Snyder Capital Management L P
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Snyder Capital Management L P

Size ($ in 1000's)
At 03/31/2020: $1,756,237
At 12/31/2019: $2,541,653

Snyder Capital Management L P holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Snyder Capital Management L P 13F filings. Link to 13F filings: SEC filings

Snyder Capital Management L P Top Holdings 13F Filings | www.HoldingsChannel.com

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