
Entity | Amount | Change
03/31/2022 to 06/30/2022 |
Position Size ($ in 1000's) |
---|---|---|---|
![]() |
374,850 | -10,091 | $32,589 |
SIGI | 374,850 | -10,091 | $32,589 |
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220,682 | -6,889 | $24,211 |
DORM | 220,682 | -6,889 | $24,211 |
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305,438 | -8,414 | $23,565 |
SSB | 305,438 | -8,414 | $23,565 |
![]() |
244,934 | -6,595 | $23,269 |
ICFI | 244,934 | -6,595 | $23,269 |
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383,404 | -14,310 | $22,525 |
OLLI | 383,404 | -14,310 | $22,525 |
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297,675 | -1,630 | $21,471 |
ADC | 297,675 | -1,630 | $21,471 |
![]() |
255,691 | -8,029 | $21,261 |
FIX | 255,691 | -8,029 | $21,261 |
![]() |
185,075 | +4,979 | $20,305 |
AMN | 185,075 | +4,979 | $20,305 |
![]() |
35,775 | -27,806 | $20,174 |
COKE | 35,775 | -27,806 | $20,174 |
![]() |
183,745 | -4,873 | $19,462 |
IDA | 183,745 | -4,873 | $19,462 |
![]() |
570,237 | -16,396 | $19,342 |
AUB | 570,237 | -16,396 | $19,342 |
![]() |
259,819 | +14,904 | $19,034 |
FELE | 259,819 | +14,904 | $19,034 |
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268,613 | -7,518 | $18,980 |
ITGR | 268,613 | -7,518 | $18,980 |
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310,841 | +37,259 | $18,051 |
BLKB | 310,841 | +37,259 | $18,051 |
![]() |
195,400 | -6,421 | $17,969 |
FWRD | 195,400 | -6,421 | $17,969 |
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119,878 | -39,646 | $17,662 |
EXLS | 119,878 | -39,646 | $17,662 |
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246,162 | -8,209 | $17,167 |
ONTO | 246,162 | -8,209 | $17,167 |
![]() |
1,034,394 | -744,619 | $17,026 |
CNX | 1,034,394 | -744,619 | $17,026 |
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890,982 | +53,458 | $16,964 |
DEA | 890,982 | +53,458 | $16,964 |
![]() |
302,033 | -8,754 | $16,319 |
IART | 302,033 | -8,754 | $16,319 |
![]() |
586,117 | +48,172 | $16,024 |
AVNS | 586,117 | +48,172 | $16,024 |
![]() |
198,935 | -5,955 | $15,734 |
KALU | 198,935 | -5,955 | $15,734 |
![]() |
191,780 | +60,639 | $15,713 |
NPO | 191,780 | +60,639 | $15,713 |
![]() |
420,058 | -64,070 | $15,538 |
MMI | 420,058 | -64,070 | $15,538 |
![]() |
918,882 | +245,863 | $15,520 |
GTN | 918,882 | +245,863 | $15,520 |
![]() |
251,405 | -8,136 | $15,421 |
KFRC | 251,405 | -8,136 | $15,421 |
![]() |
388,133 | +35,460 | $15,273 |
MC | 388,133 | +35,460 | $15,273 |
![]() |
261,279 | -8,481 | $15,159 |
KFY | 261,279 | -8,481 | $15,159 |
![]() |
101,011 | +49,035 | $15,118 |
MEDP | 101,011 | +49,035 | $15,118 |
![]() |
665,710 | -18,565 | $15,018 |
BHE | 665,710 | -18,565 | $15,018 |
![]() |
228,023 | +33,325 | $14,723 |
DIOD | 228,023 | +33,325 | $14,723 |
![]() |
465,725 | -15,544 | $14,405 |
MOV | 465,725 | -15,544 | $14,405 |
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110,269 | -3,046 | $14,306 |
BCPC | 110,269 | -3,046 | $14,306 |
![]() |
406,024 | -11,230 | $14,239 |
UBSI | 406,024 | -11,230 | $14,239 |
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233,291 | -6,582 | $13,755 |
ENS | 233,291 | -6,582 | $13,755 |
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415,782 | -13,541 | $12,947 |
B | 415,782 | -13,541 | $12,947 |
![]() |
631,313 | -20,285 | $12,771 |
GIII | 631,313 | -20,285 | $12,771 |
![]() |
370,614 | -12,197 | $12,619 |
CTS | 370,614 | -12,197 | $12,619 |
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211,241 | +147,759 | $12,394 |
MCRI | 211,241 | +147,759 | $12,394 |
![]() |
371,802 | -10,443 | $12,284 |
SBCF | 371,802 | -10,443 | $12,284 |
![]() |
245,623 | -6,905 | $12,220 |
STC | 245,623 | -6,905 | $12,220 |
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1,219,610 | -28,892 | $12,099 |
SHO | 1,219,610 | -28,892 | $12,099 |
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170,997 | +3,497 | $11,783 |
BOOT | 170,997 | +3,497 | $11,783 |
![]() |
161,398 | +31,972 | $11,779 |
AEIS | 161,398 | +31,972 | $11,779 |
![]() |
90,889 | -2,485 | $11,775 |
CPK | 90,889 | -2,485 | $11,775 |
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108,614 | -2,963 | $11,191 |
CSWI | 108,614 | -2,963 | $11,191 |
![]() |
453,132 | +453,132 | $10,943 |
BRP | 453,132 | +453,132 | $10,943 |
![]() |
77,091 | -2,625 | $10,767 |
JJSF | 77,091 | -2,625 | $10,767 |
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183,277 | -5,230 | $10,685 |
PCRX | 183,277 | -5,230 | $10,685 |
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159,344 | +29,221 | $10,431 |
AMBA | 159,344 | +29,221 | $10,431 |
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
![]() At 06/30/2022: $1,007,246 At 03/31/2022: $1,266,255 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 |