Tygh Capital Management

Tygh Capital Management as of Sept. 30, 2020

Portfolio Holdings for Tygh Capital Management

Tygh Capital Management holds 84 positions in its portfolio as reported in the September 2020 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Kinsale Cap Group (KNSL) 3.2 $17M 88k 190.18
Emergent BioSolutions (EBS) 2.6 $14M 131k 103.33
Pra Health Sciences 2.5 $13M 132k 101.44
Cavco Industries (CVCO) 2.5 $13M 74k 180.31
Natera (NTRA) 2.5 $13M 184k 72.24
Cubic Corporation 2.4 $13M 215k 58.17
Repligen Corporation (RGEN) 2.3 $12M 82k 147.53
Bio-Rad Laboratories (BIO) 2.2 $12M 23k 515.45
WNS 2.2 $12M 183k 63.96
Genpact (G) 2.2 $12M 297k 38.95
CACI International (CACI) 1.9 $10M 48k 213.17
LHC 1.9 $10M 47k 212.56
Quanta Services (PWR) 1.8 $9.7M 183k 52.86
Tfii Cn (TFII) 1.8 $9.5M 227k 41.83
Kratos Defense & Security Solutions (KTOS) 1.8 $9.4M 488k 19.28
Nice Systems (NICE) 1.7 $9.2M 41k 227.03
Silk Road Medical Inc Common (SILK) 1.7 $9.2M 137k 67.21
LeMaitre Vascular (LMAT) 1.7 $8.9M 274k 32.53
SPDR S&P Biotech (XBI) 1.7 $8.9M 80k 111.43
Willscot Mobile Mini Holdin Cl A Ord (WSC) 1.7 $8.9M 533k 16.68
On Assignment (ASGN) 1.7 $8.7M 137k 63.56
Pacira Pharmaceuticals (PCRX) 1.6 $8.4M 139k 60.12
Ligand Pharmaceuticals In (LGND) 1.6 $8.3M 87k 95.32
Charles River Laboratories (CRL) 1.5 $7.9M 35k 226.44
Onto Innovation (ONTO) 1.5 $7.9M 265k 29.78
Vertex (VERX) 1.5 $7.7M 336k 23.00
Mercury Computer Systems (MRCY) 1.5 $7.7M 100k 77.46
Tower Semiconductor (TSEM) 1.5 $7.7M 420k 18.22
Medallia 1.4 $7.6M 278k 27.42
Skyline Corporation (SKY) 1.4 $7.4M 275k 26.77
Diodes Incorporated (DIOD) 1.4 $7.3M 130k 56.45
Trade Desk (TTD) 1.4 $7.3M 14k 518.75
Canada Goose Holdings Inc shs sub vtg (GOOS) 1.3 $7.0M 217k 32.17
Sterling Construction Company (STRL) 1.3 $6.9M 484k 14.16
Cyrusone 1.2 $6.6M 94k 70.03
Bio-techne Corporation (TECH) 1.2 $6.3M 25k 247.75
Providence Service Corporation 1.2 $6.2M 67k 92.91
Chemed Corp Com Stk (CHE) 1.2 $6.2M 13k 480.34
Casella Waste Systems (CWST) 1.2 $6.2M 112k 55.85
Viavi Solutions Inc equities (VIAV) 1.1 $6.1M 517k 11.73
Chart Industries (GTLS) 1.1 $5.9M 84k 70.27
HMS Holdings 1.1 $5.9M 245k 23.95
Cardlytics (CDLX) 1.1 $5.8M 82k 70.57
Nexstar Broadcasting (NXST) 1.1 $5.7M 64k 89.93
ExlService Holdings (EXLS) 1.1 $5.7M 87k 65.97
Progyny (PGNY) 1.1 $5.7M 192k 29.43
MKS Instruments (MKSI) 1.0 $5.5M 50k 109.22
Trex Company (TREX) 1.0 $5.4M 75k 71.60
CommVault Systems (CVLT) 1.0 $5.3M 129k 40.80
Fabrinet (FN) 1.0 $5.0M 80k 63.03
Cohu (COHU) 0.9 $4.9M 285k 17.18
Shyft Group (SHYF) 0.9 $4.6M 245k 18.88
Littelfuse (LFUS) 0.9 $4.5M 25k 177.34
Lattice Semiconductor (LSCC) 0.8 $4.4M 152k 28.96
Western Alliance Bancorporation (WAL) 0.8 $4.2M 133k 31.62
Guidewire Software (GWRE) 0.8 $4.1M 40k 104.26
U.S. Physical Therapy (USPH) 0.8 $4.1M 47k 86.87
Five Below (FIVE) 0.8 $4.0M 31k 126.99
Ollies Bargain Outlt Hldgs I (OLLI) 0.7 $3.9M 45k 87.35
Covenant Transportation (CVLG) 0.7 $3.9M 223k 17.49
Hci (HCI) 0.7 $3.7M 76k 49.29
Mirati Therapeutics 0.7 $3.6M 22k 166.06
Maximus (MMS) 0.7 $3.5M 52k 68.40
Revolve Group Inc cl a (RVLV) 0.7 $3.4M 210k 16.43
NeoGenomics (NEO) 0.6 $3.1M 85k 36.89
Blueprint Medicines (BPMC) 0.6 $3.0M 32k 92.69
Planet Fitness Inc-cl A (PLNT) 0.5 $2.7M 44k 61.61
Winnebago Industries (WGO) 0.5 $2.7M 52k 51.67
Churchill Downs (CHDN) 0.5 $2.7M 16k 163.83
Lci Industries (LCII) 0.5 $2.6M 25k 106.29
Lemonade (LMND) 0.5 $2.6M 53k 49.71
Invitae (NVTAQ) 0.5 $2.6M 60k 43.35
OraSure Technologies (OSUR) 0.5 $2.5M 205k 12.17
Construction Partners (ROAD) 0.5 $2.5M 136k 18.20
Ultragenyx Pharmaceutical (RARE) 0.5 $2.4M 29k 82.19
Arrowhead Pharmaceuticals (ARWR) 0.5 $2.4M 56k 43.07
Fibrogen (FGEN) 0.4 $2.0M 48k 41.12
Halozyme Therapeutics (HALO) 0.4 $1.9M 72k 26.28
Amicus Therapeutics (FOLD) 0.3 $1.8M 130k 14.12
Biohaven Pharmaceutical Holding 0.3 $1.8M 27k 65.00
Healthequity (HQY) 0.3 $1.8M 34k 51.36
Ptc Therapeutics I (PTCT) 0.3 $1.7M 37k 46.75
Healthcare Services (HCSG) 0.3 $1.4M 64k 21.53
Innospec (IOSP) 0.3 $1.4M 22k 63.34