Tygh Capital Management

Tygh Capital Management as of June 30, 2016

Portfolio Holdings for Tygh Capital Management

Tygh Capital Management holds 89 positions in its portfolio as reported in the June 2016 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
VCA Antech 3.4 $12M 177k 67.61
Centene Corporation (CNC) 3.3 $12M 166k 71.37
Dycom Industries (DY) 2.7 $9.5M 105k 89.76
Take-Two Interactive Software (TTWO) 2.3 $8.2M 217k 37.92
LKQ Corporation (LKQ) 2.2 $7.8M 247k 31.70
TreeHouse Foods (THS) 2.1 $7.6M 74k 102.64
MasTec (MTZ) 1.9 $6.9M 308k 22.32
Envision Healthcare Hlds 1.9 $6.8M 267k 25.37
Casey's General Stores (CASY) 1.9 $6.6M 51k 131.50
Omnicell (OMCL) 1.9 $6.6M 193k 34.23
Waste Connections (WCN) 1.8 $6.5M 90k 72.04
Tower Semiconductor (TSEM) 1.8 $6.5M 519k 12.42
Cardtronics Plc Shs Cl A 1.8 $6.3M 159k 39.81
Headwaters Incorporated 1.7 $6.1M 338k 17.94
Emcor (EME) 1.7 $6.0M 121k 49.26
HEICO Corporation (HEI) 1.7 $5.9M 89k 66.81
PrivateBan 1.7 $5.9M 134k 44.03
Power Integrations (POWI) 1.6 $5.8M 116k 50.07
Heska Corporation 1.6 $5.7M 152k 37.17
Ultratech 1.4 $5.0M 218k 22.97
Continental Bldg Prods 1.4 $4.9M 223k 22.23
Texas Roadhouse (TXRH) 1.4 $4.9M 108k 45.60
CommVault Systems (CVLT) 1.4 $4.9M 113k 43.19
Eagle Materials (EXP) 1.4 $4.9M 63k 77.16
Booz Allen Hamilton Holding Corporation (BAH) 1.4 $4.9M 164k 29.64
Envestnet (ENV) 1.3 $4.7M 142k 33.31
Columbia Sportswear Company (COLM) 1.3 $4.7M 81k 57.53
Patrick Industries (PATK) 1.3 $4.6M 77k 60.30
Zayo Group Hldgs 1.3 $4.7M 167k 27.93
athenahealth 1.3 $4.6M 33k 138.02
Apogee Enterprises (APOG) 1.3 $4.6M 99k 46.35
Amerisafe (AMSF) 1.3 $4.6M 75k 61.22
Burlington Stores (BURL) 1.3 $4.6M 69k 66.72
AmSurg 1.3 $4.5M 58k 77.54
FormFactor (FORM) 1.3 $4.5M 500k 8.99
Buffalo Wild Wings 1.2 $4.4M 32k 138.96
Chuys Hldgs (CHUY) 1.2 $4.4M 128k 34.61
G-III Apparel (GIII) 1.2 $4.2M 92k 45.72
On Assignment 1.1 $4.1M 111k 36.95
Tyler Technologies (TYL) 1.1 $4.1M 25k 166.70
Veeva Sys Inc cl a (VEEV) 1.1 $4.0M 118k 34.12
Impax Laboratories 1.1 $4.0M 137k 28.82
Microsemi Corporation 1.1 $3.8M 116k 32.68
Fabrinet (FN) 1.1 $3.8M 102k 37.12
RealPage 1.1 $3.8M 169k 22.33
Icon (ICLR) 1.1 $3.8M 54k 70.02
Ciena Corporation (CIEN) 1.1 $3.7M 199k 18.75
Inphi Corporation 1.0 $3.6M 114k 32.03
Globant S A (GLOB) 1.0 $3.6M 92k 39.35
New Relic 1.0 $3.6M 123k 29.38
Kirby Corporation (KEX) 1.0 $3.6M 57k 62.39
Bank of the Ozarks 1.0 $3.5M 94k 37.52
CACI International (CACI) 1.0 $3.5M 39k 90.42
Littelfuse (LFUS) 0.9 $3.1M 27k 118.18
Penn National Gaming (PENN) 0.8 $3.0M 215k 13.95
Acuity Brands (AYI) 0.8 $3.0M 12k 247.98
John Bean Technologies Corporation (JBT) 0.8 $3.0M 48k 61.21
Mednax (MD) 0.8 $3.0M 41k 72.42
BE Aerospace 0.8 $2.9M 63k 46.18
Pegasystems (PEGA) 0.8 $2.9M 109k 26.95
Ensign (ENSG) 0.8 $2.9M 137k 21.01
Integrated Device Technology 0.8 $2.8M 141k 20.13
Qorvo (QRVO) 0.8 $2.8M 51k 55.26
Ceva (CEVA) 0.8 $2.8M 102k 27.17
Monotype Imaging Holdings 0.8 $2.7M 109k 24.63
Wright Express (WEX) 0.8 $2.7M 30k 88.66
Acxiom Corporation 0.7 $2.4M 111k 21.99
Abaxis 0.6 $2.3M 48k 47.24
Marketo 0.6 $2.2M 64k 34.82
DSP 0.6 $2.1M 197k 10.61
Healthcare Services (HCSG) 0.6 $2.0M 49k 41.38
HEICO Corporation (HEI.A) 0.6 $2.0M 38k 53.64
Spirit Airlines (SAVE) 0.6 $1.9M 43k 44.88
Us Silica Hldgs (SLCA) 0.6 $2.0M 57k 34.48
Trex Company (TREX) 0.5 $1.8M 40k 44.92
Middleby Corporation (MIDD) 0.5 $1.7M 15k 115.27
Cubic Corporation 0.5 $1.7M 43k 40.17
ACI Worldwide (ACIW) 0.4 $1.5M 77k 19.51
Zebra Technologies (ZBRA) 0.4 $1.4M 28k 50.08
Nice Systems (NICE) 0.4 $1.4M 23k 63.86
Motorcar Parts of America (MPAA) 0.4 $1.3M 49k 27.17
Ceb 0.4 $1.4M 22k 61.70
Unit Corporation 0.3 $1.1M 70k 15.57
Global Medical Reit (GMRE) 0.3 $1.0M 100k 10.11
TETRA Technologies (TTI) 0.2 $679k 107k 6.37
Imprivata 0.2 $628k 45k 14.00
Korn/Ferry International (KFY) 0.2 $621k 30k 20.70
Csra 0.2 $586k 25k 23.44
Maximus (MMS) 0.1 $498k 9.0k 55.33