Moody Aldrich Partners

Moody Aldrich Partners as of March 31, 2016

Portfolio Holdings for Moody Aldrich Partners

Moody Aldrich Partners holds 86 positions in its portfolio as reported in the March 2016 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Interxion Holding 2.5 $1.2M 34k 34.59
Bankunited (BKU) 2.3 $1.1M 32k 34.45
WellCare Health Plans 2.1 $1.0M 11k 92.76
Brookline Ban (BRKL) 2.0 $939k 85k 11.01
Cyrusone 1.9 $929k 20k 45.66
Cambrex Corporation 1.9 $886k 20k 44.01
Investors Ban 1.9 $881k 76k 11.64
Cathay General Ban (CATY) 1.8 $834k 29k 28.34
Fair Isaac Corporation (FICO) 1.7 $823k 7.8k 106.06
Sunstone Hotel Investors (SHO) 1.7 $813k 58k 14.00
Yadkin Finl Corp 1.7 $812k 34k 23.67
Cabot Microelectronics Corporation 1.7 $802k 20k 40.91
Calavo Growers (CVGW) 1.7 $803k 14k 57.09
Armstrong World Industries (AWI) 1.7 $801k 17k 48.35
Spirit Airlines (SAVE) 1.7 $792k 17k 47.99
Maximus (MMS) 1.6 $779k 15k 52.62
Marriott Vacations Wrldwde Cp (VAC) 1.6 $777k 12k 67.54
Independent Bank (INDB) 1.5 $730k 16k 45.98
American Woodmark Corp 1.5 $734k 9.8k 74.56
Kaiser Aluminum (KALU) 1.5 $722k 8.5k 84.49
Standex Int'l (SXI) 1.5 $715k 9.2k 77.76
D Albany Molecular Res Earch Inc Common Stock 0 1.5 $711k 47k 15.29
Helen Of Troy (HELE) 1.5 $710k 6.9k 103.65
Dycom Industries (DY) 1.5 $707k 11k 64.65
MKS Instruments (MKSI) 1.5 $710k 19k 37.63
Sovran Self Storage 1.4 $660k 5.6k 117.96
AAON Inc Common Stock Usd0.004 1.4 $659k 24k 27.99
Essent (ESNT) 1.3 $615k 30k 20.82
Tri Pointe Homes (TPH) 1.3 $607k 52k 11.77
Natus Medical 1.2 $591k 15k 38.41
Highwoods Properties (HIW) 1.2 $585k 12k 47.77
Globus Med Inc cl a (GMED) 1.2 $585k 25k 23.75
Inphi Corporation 1.2 $562k 17k 33.31
Hexcel Corporation (HXL) 1.2 $555k 13k 43.74
Healthsouth 1.2 $551k 15k 37.62
Dorman Products (DORM) 1.1 $548k 10k 54.39
New Jersey Resources Corporation (NJR) 1.1 $546k 15k 36.45
Aci Worldwide 1.1 $549k 26k 20.80
Albany Intl Corp cl a 1.1 $546k 15k 37.58
Rsp Permian 1.1 $546k 19k 29.07
Blackbaud (BLKB) 1.1 $539k 8.6k 62.89
South Jersey Industries 1.1 $535k 19k 28.44
Nautilus (BFXXQ) 1.1 $539k 28k 19.33
Qts Realty Trust 1.1 $529k 11k 47.38
UniFirst Corporation (UNF) 1.1 $508k 4.7k 109.13
Manhattan Associates (MANH) 1.1 $502k 8.8k 56.82
Syntel 1.0 $496k 9.9k 49.90
Westwood Holdings (WHG) 1.0 $495k 8.4k 58.61
Pdc Energy 1.0 $496k 8.4k 59.40
Navigators 1.0 $480k 5.7k 83.84
Cheesecake Factory Incorporated (CAKE) 1.0 $473k 8.9k 53.06
Littelfuse (LFUS) 1.0 $467k 3.8k 123.22
Silicon Laboratories (SLAB) 1.0 $460k 10k 44.92
NuVasive 0.9 $452k 9.3k 48.60
Landstar System (LSTR) 0.9 $436k 6.7k 64.64
ICU Medical, Incorporated (ICUI) 0.9 $438k 4.2k 104.04
Columbia Sportswear Company (COLM) 0.9 $426k 7.1k 60.04
Provident Financial Services (PFS) 0.9 $421k 21k 20.19
Bloomin Brands 0.9 $422k 25k 16.87
Mentor Graphics Corporation 0.9 $412k 20k 20.35
Dril-Quip (DRQ) 0.9 $408k 6.7k 60.53
G-III Apparel (GIII) 0.8 $398k 8.2k 48.83
Sun Communities (SUI) 0.8 $400k 5.6k 71.56
Team Health Holdings 0.8 $398k 9.5k 41.76
Portland General Electric Company (POR) 0.8 $395k 10k 39.54
MGE Energy (MGEE) 0.8 $393k 7.5k 52.26
J Global (ZD) 0.8 $397k 6.4k 61.60
Alexander & Baldwin Inc C ommon stock 0 0.8 $397k 11k 36.69
Toro Company (TTC) 0.8 $392k 4.6k 86.06
Neurocrine Biosciences (NBIX) 0.8 $389k 9.8k 39.55
Chesapeake Utilities Corporation (CPK) 0.8 $386k 6.1k 63.02
Colfax Corporation 0.8 $371k 13k 28.63
Allegiant Travel Company (ALGT) 0.8 $363k 2.0k 177.94
PAREXEL International Corporation 0.8 $357k 5.7k 62.74
Intersil Corporation 0.7 $330k 25k 13.37
Forward Air Corporation (FWRD) 0.7 $324k 7.1k 45.38
Monolithic Power Systems (MPWR) 0.7 $313k 4.9k 63.62
AmSurg 0.6 $297k 4.0k 74.62
Entegris (ENTG) 0.6 $289k 21k 13.61
American Axle & Mfg Hldgs In 0.6 $269k 18k 15.41
Myriad Genetics (MYGN) 0.5 $249k 6.6k 37.50
MaxLinear (MXL) 0.5 $249k 14k 18.48
SVB Financial (SIVBQ) 0.5 $218k 2.1k 102.06
Jack Henry & Associates (JKHY) 0.5 $216k 2.6k 84.71
FactSet Research Systems (FDS) 0.4 $203k 1.3k 151.61
East West Ban (EWBC) 0.4 $201k 6.2k 32.42