Tygh Capital Management

Tygh Capital Management as of Dec. 31, 2018

Portfolio Holdings for Tygh Capital Management

Tygh Capital Management holds 78 positions in its portfolio as reported in the December 2018 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Kinsale Cap Group (KNSL) 3.6 $17M 308k 55.56
Strategic Education (STRA) 3.1 $15M 131k 113.42
MasTec (MTZ) 3.0 $15M 359k 40.56
Ultimate Software 2.7 $13M 52k 244.87
Wright Medical Group Nv 2.6 $12M 449k 27.22
Mellanox Technologies 2.5 $12M 128k 92.38
Nice Systems (NICE) 2.4 $12M 106k 108.21
Euronet Worldwide (EEFT) 2.3 $11M 106k 102.38
Ligand Pharmaceuticals In (LGND) 2.3 $11M 80k 135.70
Amerisafe (AMSF) 2.2 $11M 186k 56.69
HMS Holdings 2.0 $9.8M 347k 28.13
RealPage 2.0 $9.8M 203k 48.19
Casella Waste Systems (CWST) 2.0 $9.3M 328k 28.49
Orthofix Medical (OFIX) 1.9 $8.9M 169k 52.49
Air Transport Services (ATSG) 1.8 $8.7M 382k 22.81
Chart Industries (GTLS) 1.8 $8.6M 132k 65.03
Trade Desk (TTD) 1.7 $8.3M 72k 116.06
Pra Health Sciences 1.7 $8.3M 90k 91.96
Quanta Services (PWR) 1.7 $7.9M 263k 30.10
Bright Horizons Fam Sol In D (BFAM) 1.6 $7.7M 69k 111.45
Charles River Laboratories (CRL) 1.6 $7.7M 68k 113.18
Msa Safety Inc equity (MSA) 1.6 $7.6M 81k 94.27
Bio-techne Corporation (TECH) 1.6 $7.5M 52k 144.71
Repligen Corporation (RGEN) 1.5 $7.1M 135k 52.74
Altra Holdings 1.5 $7.1M 281k 25.15
Delek Us Holdings (DK) 1.5 $7.0M 216k 32.51
Tyler Technologies (TYL) 1.5 $7.0M 38k 185.81
Wright Express (WEX) 1.4 $6.8M 49k 140.06
Evolent Health (EVH) 1.4 $6.7M 338k 19.95
Littelfuse (LFUS) 1.4 $6.5M 38k 171.48
Marriott Vacations Wrldwde Cp (VAC) 1.4 $6.5M 92k 70.51
Willscot Corp 1.4 $6.4M 682k 9.42
Liberty Expedia Holdings ser a 1.3 $6.3M 161k 39.11
Kirby Corporation (KEX) 1.3 $6.1M 91k 67.35
Modine Manufacturing (MOD) 1.3 $6.0M 559k 10.81
Sterling Construction Company (STRL) 1.3 $6.0M 552k 10.89
CACI International (CACI) 1.2 $6.0M 41k 144.02
Lattice Semiconductor (LSCC) 1.2 $5.9M 853k 6.92
Viavi Solutions Inc equities (VIAV) 1.2 $5.9M 583k 10.05
Cavco Industries (CVCO) 1.2 $5.8M 45k 130.37
Natera (NTRA) 1.2 $5.8M 415k 13.96
Genesee & Wyoming 1.1 $5.5M 74k 74.03
Western Alliance Bancorporation (WAL) 1.1 $5.4M 136k 39.49
Genpact (G) 1.1 $5.3M 197k 26.99
Guidewire Software (GWRE) 1.1 $5.3M 66k 80.23
On Assignment (ASGN) 1.1 $5.1M 94k 54.50
H&E Equipment Services (HEES) 1.1 $5.0M 247k 20.42
SPDR S&P Biotech (XBI) 0.9 $4.5M 63k 71.76
Pluralsight Inc Cl A 0.9 $4.4M 187k 23.55
Novocure Ltd ord (NVCR) 0.9 $4.3M 128k 33.48
Forescout Technologies 0.9 $4.2M 163k 25.99
Albany International (AIN) 0.8 $4.1M 65k 62.42
Teladoc (TDOC) 0.8 $4.0M 81k 49.57
New Relic 0.8 $4.0M 49k 80.98
OMNOVA Solutions 0.8 $3.9M 532k 7.33
Skyline Corporation (SKY) 0.8 $3.9M 267k 14.69
Booz Allen Hamilton Holding Corporation (BAH) 0.8 $3.9M 87k 45.08
Pacira Pharmaceuticals (PCRX) 0.8 $3.8M 89k 43.02
Icon (ICLR) 0.8 $3.8M 30k 129.20
Brunswick Corporation (BC) 0.8 $3.6M 77k 46.45
Children's Place Retail Stores (PLCE) 0.7 $3.4M 38k 90.09
Silicom (SILC) 0.7 $3.4M 98k 34.94
Lumentum Hldgs (LITE) 0.7 $3.3M 79k 42.01
Universal Display Corporation (OLED) 0.7 $3.2M 35k 93.57
Alteryx 0.6 $2.9M 48k 59.48
Heska Corporation 0.6 $2.7M 32k 86.08
OraSure Technologies (OSUR) 0.6 $2.7M 231k 11.68
Hooker Furniture Corporation (HOFT) 0.6 $2.7M 102k 26.34
Healthequity (HQY) 0.5 $2.5M 41k 59.65
Construction Partners (ROAD) 0.5 $2.5M 284k 8.83
Evolus (EOLS) 0.4 $2.1M 177k 11.90
Tabula Rasa Healthcare 0.4 $2.0M 31k 63.76
Omnicell (OMCL) 0.4 $1.8M 30k 61.23
Matador Resources (MTDR) 0.3 $1.4M 93k 15.53
Patterson-UTI Energy (PTEN) 0.3 $1.3M 129k 10.35
Propetro Hldg (PUMP) 0.3 $1.3M 109k 12.32
Multi-Color Corporation 0.2 $947k 27k 35.07
Envestnet (ENV) 0.2 $974k 20k 49.19