HoldingsChannel.com
Tributary Capital Management LLC Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
L H C GROUP 269,408 -8,137 $37,114
     LHCG269,408-8,137$37,114
TETRA TECH INC 406,963 -12,123 $35,064
     TTEK406,963-12,123$35,064
AMN HEALTHCARE SRVCS 507,237 -16,216 $31,606
     AMN507,237-16,216$31,606
NEXSTAR MEDIA GROUP CLASS A 255,586 -7,318 $29,967
     NXST255,586-7,318$29,967
EASTERLY GOVT PPTYS REIT 1,255,414 -37,691 $29,791
     DEA1,255,414-37,691$29,791
FORWARD AIR CORP 409,034 -12,354 $28,612
     FWRD409,034-12,354$28,612
STIFEL FINL CO 469,958 -14,395 $28,503
     SF469,958-14,395$28,503
IDACORP INC 263,943 -8,210 $28,189
     IDA263,943-8,210$28,189
INTEGRA LIFESCIENCES HOLDINGS 476,492 -14,112 $27,770
     IART476,492-14,112$27,770
UNITED BANKSHRS INC 710,133 -21,548 $27,454
     UBSI710,133-21,548$27,454
C A C I INC CLASS A 109,644 -3,203 $27,410
     CACI109,644-3,203$27,410
UNION BANKSHARES CO (AUB) 712,240 -21,676 $26,745
     AUB712,240-21,676$26,745
SOUTH ST CORP 304,754 -9,100 $26,437
     SSB304,754-9,100$26,437
OLD NATL BANCORP IND 1,386,697 -38,735 $25,363
     ONB1,386,697-38,735$25,363
AMERICAN WOODMARK CORP 242,384 -7,496 $25,332
     AMWD242,384-7,496$25,332
DORMAN PRODUCTS INC 320,894 -9,370 $24,298
     DORM320,894-9,370$24,298
EXLSERVICE HOLDINGS 344,364 -10,370 $23,920
     EXLS344,364-10,370$23,920
FRANKLIN ELECTRIC CO 410,873 -12,234 $23,551
     FELE410,873-12,234$23,551
MARCUS & MILLICHAP 623,840 -18,180 $23,238
     MMI623,840-18,180$23,238
SELECTIVE INS GROUP 355,718 -11,440 $23,189
     SIGI355,718-11,440$23,189
STANDARD MOTOR PRODS 411,581 -13,567 $21,904
     SMP411,581-13,567$21,904
SYKES ENTERPRISES 583,642 -17,707 $21,589
     SYKE583,642-17,707$21,589
OMNICELL INC 264,068 -7,272 $21,580
     OMCL264,068-7,272$21,580
BALCHEM CORP 209,809 -6,293 $21,323
     BCPC209,809-6,293$21,323
BARNES GROUP INC 341,495 -10,074 $21,159
     B341,495-10,074$21,159
CAROLINA FINL CORP 489,091 -15,166 $21,143
     CARO489,091-15,166$21,143
G III APPAREL GROUP 612,415 -17,041 $20,516
     GIII612,415-17,041$20,516
LITTELFUSE INC 104,981 -3,277 $20,083
     LFUS104,981-3,277$20,083
M T S SYSTEMS CORP 417,276 -14,707 $20,042
     MTSC417,276-14,707$20,042
KFORCE INC 494,514 -14,164 $19,632
     KFRC494,514-14,164$19,632
I C F INTERNTNL 213,596 +50,870 $19,570
     ICFI213,596+50,870$19,570
SENSIENT TECHNOLOGIES 288,506 -9,167 $19,067
     SXT288,506-9,167$19,067
BENCHMARK ELECTRONIC 552,177 -16,908 $18,973
     BHE552,177-16,908$18,973
METHODE ELECTRONICS 477,182 -14,692 $18,777
     MEI477,182-14,692$18,777
LTC PROPERTIES INC REIT 418,040 -13,161 $18,716
     LTC418,040-13,161$18,716
ARGO GROUP INTL HLDG F 282,327 -8,502 $18,563
     ARGO282,327-8,502$18,563
GREAT WESTERN BANCO 528,551 -15,928 $18,362
     GWB528,551-15,928$18,362
P C CONNECTION INC 369,072 -11,254 $18,328
     CNXN369,072-11,254$18,328
AMBARELLA INC F 297,299 -9,066 $18,004
     AMBA297,299-9,066$18,004
MATADOR RESOURCES CO 992,931 +87,424 $17,843
     MTDR992,931+87,424$17,843
CALLON PETROLEUM CO 3,655,312 +1,497,908 $17,655
     CPE3,655,312+1,497,908$17,655
CARPENTER TECHNOLOGY 332,965 -10,223 $16,575
     CRS332,965-10,223$16,575
SILICON MOTION TECHNOL F SPONS 316,319 -8,952 $16,041
     SIMO316,319-8,952$16,041
AGREE REALTY CORP REIT 226,985 -7,019 $15,928
     ADC226,985-7,019$15,928
MEDPACE HOLDINGS INC 187,028 -5,828 $15,722
     MEDP187,028-5,828$15,722
C T S CORP 490,471 -16,411 $14,719
     CTS490,471-16,411$14,719
BIG LOTS INC 511,009 -17,146 $14,676
     BIG511,009-17,146$14,676
COLUMBIA BANKING SYS 355,164 -10,501 $14,450
     COLB355,164-10,501$14,450
ONTO INNOVATION INC 395,080 -6,944 $14,436
     NANO395,080-6,944$14,436
MERCANTILE BANK CORP 367,382 -11,183 $13,398
     MBWM367,382-11,183$13,398

See Full List: All Stocks Held By Tributary Capital Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Tributary Capital Management LLC

Size ($ in 1000's)
At 12/31/2019: $1,430,238
At 09/30/2019: $1,377,064

Combined Holding Report Includes:
Tributary Capital Management LLC
First National Fund Advisers

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

Tributary Capital Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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