HoldingsChannel.com
Tygh Capital Management Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
BIO RAD LABRATORIES CL A 48,524 +396 $17,011
     BIO48,524+396$17,011
KINSALE CAPITAL GROUP INC 127,683 -56,447 $13,347
     KNSL127,683-56,447$13,347
CACI INTERNATIONAL INC CL A 61,285 +6,136 $12,940
     CACI61,285+6,136$12,940
REPLIGEN CORP 129,691 +666 $12,520
     RGEN129,691+666$12,520
LIGAND PHARMACEUTICALS 151,792 +96,120 $11,038
     LGND151,792+96,120$11,038
OMNICELL INC 159,702 +58,726 $10,473
     OMCL159,702+58,726$10,473
GENPACT LIMITED 343,400 +1,917 $10,027
     G343,400+1,917$10,027
TELADOC HEALTH INC 63,856 -41,001 $9,898
     TDOC63,856-41,001$9,898
ONTO INNOVATION INC 330,921 +70,888 $9,818
     NANO330,921+70,888$9,818
HMS HOLDINGS CORP 381,423 +1,905 $9,639
     HMSY381,423+1,905$9,639
CASELLA WASTE SYSTEMS INC A 242,867 +114,657 $9,486
     CWST242,867+114,657$9,486
WILLSCOT CORPORATION CLASS A 913,908 -116,218 $9,258
     WSC913,908-116,218$9,258
MAXIMUS INC 155,592 +60,451 $9,055
     MMS155,592+60,451$9,055
APPLIED INDUSTRIAL TECHNOLOGIE 191,349 +51,286 $8,748
     AIT191,349+51,286$8,748
QUANTA SERVICES INC 272,472 +1,563 $8,646
     PWR272,472+1,563$8,646
CYRUSONE INC 139,877 +15,230 $8,637
     CONE139,877+15,230$8,637
VIAVI SOLUTIONS INC 758,205 +139,065 $8,499
     VIAV758,205+139,065$8,499
CHARLES RIVER LABORATORIES 67,111 +290 $8,470
     CRL67,111+290$8,470
EMERGENT BIOSOLUTIONS INC 142,732 +25,570 $8,258
     EBS142,732+25,570$8,258
PRA HEALTH SCIENCES INC 99,309 -49,513 $8,247
     PRAH99,309-49,513$8,247
STRATEGIC EDUCATION INC 58,983 +17,254 $8,243
     STRA58,983+17,254$8,243
LHC GROUP INC 56,217 +22,276 $7,882
     LHCG56,217+22,276$7,882
TOWER SEMICONDUCTOR LTD 492,353 +115,963 $7,838
     TSEM492,353+115,963$7,838
MERCURY SYSTEMS INC 105,976 +23,258 $7,560
     MRCY105,976+23,258$7,560
SPDR S&P BIOTECH ETF (XBI) 97,376 +1,054 $7,541
     XBI97,376+1,054$7,541
BIO TECHNE CORP 39,146 -13,385 $7,423
     TECH39,146-13,385$7,423
LATTICE SEMICONDUCTOR CORP 413,159 +71,043 $7,362
     LSCC413,159+71,043$7,362
HEALTHEQUITY INC 141,562 +35,189 $7,162
     HQY141,562+35,189$7,162
NICE SYSTEMS LTD SPONS ADR 48,465 -14,885 $6,958
     NICE48,465-14,885$6,958
PEGASYSTEMS INC 97,448 +34,694 $6,941
     PEGA97,448+34,694$6,941
NATERA INC 229,452 +63,239 $6,851
     NTRA229,452+63,239$6,851
CLEAN HARBORS INC 132,556 -25,162 $6,805
     CLH132,556-25,162$6,805
WNS HOLDINGS LTD ADR 155,361 +38,000 $6,677
     WNS155,361+38,000$6,677
CHART INDUSTRIES INC 226,597 +2,209 $6,567
     GTLS226,597+2,209$6,567
TRADE DESK INC CLASS A 32,869 -16,259 $6,344
     TTD32,869-16,259$6,344
SITEONELANDSCAPE SUPPLY INC 83,263 +26,144 $6,130
     SITE83,263+26,144$6,130
COLUMBIA SPORTSWEAR CO COM 87,162 +21,992 $6,081
     COLM87,162+21,992$6,081
MKS INSTRUMENTS INC. 73,411 +26,227 $5,979
     MKSI73,411+26,227$5,979
NATIONAL INSTRS CORP COM 178,715 +178,715 $5,912
     NATI178,715+178,715$5,912
ASGN INC 151,793 +1,595 $5,361
     ASGN151,793+1,595$5,361
AMEDISYS INC 29,177 +29,177 $5,355
     AMED29,177+29,177$5,355
CAVCO INDUSTRIES INC 36,170 -25,733 $5,242
     CVCO36,170-25,733$5,242
HOOKER FUNITURE CORP 320,018 +157,540 $4,995
     HOFT320,018+157,540$4,995
TFI INTERNATIONAL INC 219,231 +219,231 $4,843
     TFII219,231+219,231$4,843
H&E EQUIPMENT SERVICES INC 318,199 +65,826 $4,671
     HEES318,199+65,826$4,671
STERLING CONSTRUCTION CO 477,027 -106,230 $4,532
     STRL477,027-106,230$4,532
CHEMED CORP NEW COM 10,262 +10,262 $4,445
     CHE10,262+10,262$4,445
KADANT INC 59,482 -2,679 $4,440
     KAI59,482-2,679$4,440
SKYLINE CHAMPION CORP 251,633 -210,266 $3,946
     SKY251,633-210,266$3,946
HEALTHCARE SERVICES GROUP 159,055 +159,055 $3,803
     HCSG159,055+159,055$3,803

See Full List: All Stocks Held By Tygh Capital Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Tygh Capital Management Inc.

Size ($ in 1000's)
At 03/31/2020: $446,145
At 12/31/2019: $605,593

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

Tygh Capital Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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