HoldingsChannel.com
Tygh Capital Management Inc. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
KINSALE CAPITAL GROUP INC 96,712 -30,971 $15,011
     KNSL96,712-30,971$15,011
LIGAND PHARMACEUTICALS 125,101 -26,691 $13,993
     LGND125,101-26,691$13,993
CAVCO INDUSTRIES INC 66,275 +30,105 $12,781
     CVCO66,275+30,105$12,781
ASGN INC 180,106 +28,313 $12,009
     ASGN180,106+28,313$12,009
HMS HOLDINGS CORP 360,462 -20,961 $11,675
     HMSY360,462-20,961$11,675
EMERGENT BIOSOLUTIONS INC 143,396 +664 $11,340
     EBS143,396+664$11,340
BIO RAD LABRATORIES CL A 24,834 -23,690 $11,212
     BIO24,834-23,690$11,212
CHARLES RIVER LABORATORIES 63,158 -3,953 $11,012
     CRL63,158-3,953$11,012
NATERA INC 213,088 -16,364 $10,625
     NTRA213,088-16,364$10,625
GENPACT LIMITED 282,274 -61,126 $10,309
     G282,274-61,126$10,309
REPLIGEN CORP 82,495 -47,196 $10,197
     RGEN82,495-47,196$10,197
WNS HOLDINGS LTD ADR 179,240 +23,879 $9,855
     WNS179,240+23,879$9,855
ONTO INNOVATION INC 277,578 -53,343 $9,449
     NANO277,578-53,343$9,449
TRADE DESK INC CLASS A 22,033 -10,836 $8,956
     TTD22,033-10,836$8,956
VIAVI SOLUTIONS INC 698,978 -59,227 $8,905
     VIAV698,978-59,227$8,905
SPDR S&P BIOTECH ETF (XBI) 78,253 -19,123 $8,760
     XBI78,253-19,123$8,760
CYRUSONE INC 119,441 -20,436 $8,689
     CONE119,441-20,436$8,689
STRATEGIC EDUCATION INC 55,710 -3,273 $8,560
     STRA55,710-3,273$8,560
WILLSCOT MOBILE MINI HOLDINGS 693,436 -220,472 $8,522
     WSC693,436-220,472$8,522
LHC GROUP INC 46,067 -10,150 $8,030
     LHCG46,067-10,150$8,030
PRA HEALTH SCIENCES INC 81,658 -17,651 $7,945
     PRAH81,658-17,651$7,945
TOWER SEMICONDUCTOR LTD 412,937 -79,416 $7,883
     TSEM412,937-79,416$7,883
LATTICE SEMICONDUCTOR CORP 269,382 -143,777 $7,648
     LSCC269,382-143,777$7,648
HEALTHEQUITY INC 128,898 -12,664 $7,562
     HQY128,898-12,664$7,562
NICE SYSTEMS LTD SPONS ADR 39,844 -8,621 $7,540
     NICE39,844-8,621$7,540
HEALTHCARE SERVICES GROUP 300,856 +141,801 $7,359
     HCSG300,856+141,801$7,359
TFI INTERNATIONAL INC 206,375 -12,856 $7,316
     TFII206,375-12,856$7,316
QUANTA SERVICES INC 179,408 -93,064 $7,038
     PWR179,408-93,064$7,038
MEDALLIA INC 268,553 +268,553 $6,778
     MDLA268,553+268,553$6,778
BIO TECHNE CORP 24,966 -14,180 $6,593
     TECH24,966-14,180$6,593
SKYLINE CHAMPION CORP 270,165 +18,532 $6,576
     SKY270,165+18,532$6,576
CASELLA WASTE SYSTEMS INC A 121,667 -121,200 $6,341
     CWST121,667-121,200$6,341
WESTERN ALLIANCE BANCORP 164,216 +49,780 $6,219
     WAL164,216+49,780$6,219
STERLING CONSTRUCTION CO 578,548 +101,521 $6,057
     STRL578,548+101,521$6,057
CHEMED CORP NEW COM 12,765 +2,503 $5,758
     CHE12,765+2,503$5,758
NATIONAL INSTRS CORP COM 146,225 -32,490 $5,660
     NATI146,225-32,490$5,660
MKS INSTRUMENTS INC. 49,511 -23,900 $5,607
     MKSI49,511-23,900$5,607
KRATOS DEFENSE & SECURITY SOLU 342,388 +201,224 $5,352
     KTOS342,388+201,224$5,352
KADANT INC 53,673 -5,809 $5,349
     KAI53,673-5,809$5,349
NEXSTAR MEDIA GROUP INC CLASS 62,749 +22,920 $5,251
     NXST62,749+22,920$5,251
CHART INDUSTRIES INC 107,463 -119,134 $5,211
     GTLS107,463-119,134$5,211
APPLIED INDUSTRIAL TECHNOLOGIE 80,238 -111,111 $5,006
     AIT80,238-111,111$5,006
FABRINET 78,150 +25,658 $4,878
     FN78,150+25,658$4,878
CARDLYTICS INC 69,512 +69,512 $4,864
     CDLX69,512+69,512$4,864
TREX COMPANY INC 36,982 +16,121 $4,810
     TREX36,982+16,121$4,810
LEMAITRE VASCULAR INC 179,668 +130,199 $4,743
     LMAT179,668+130,199$4,743
H&E EQUIPMENT SERVICES INC 253,326 -64,873 $4,681
     HEES253,326-64,873$4,681
CACI INTERNATIONAL INC CL A 20,071 -41,214 $4,353
     CACI20,071-41,214$4,353
MERCURY SYSTEMS INC 54,506 -51,470 $4,287
     MRCY54,506-51,470$4,287
LITTELFUSE INC 24,907 -574 $4,250
     LFUS24,907-574$4,250

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 06/30/2020: $479,556
At 03/31/2020: $446,145

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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