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Fund Holdings of TYGH CAPITAL MANAGEMENT INC Filed on 2012-02-06

Link to Original SEC 13F filings sorted on filing date: 2012-02-06 | 2011-10-19 | 2011-08-12 | 2011-05-10 | 2011-02-07 | 2010-11-08 | 2010-07-27 | 2010-05-11 | 2010-02-08 | 2009-11-06 | 2009-08-07 | 2009-05-06 | 2009-02-09 | 2008-11-06 | 2008-08-13 | 2008-05-07 |

1. Fund Information

Fund NameTYGH CAPITAL MANAGEMENT INC
Fund Manager
Address1211 S.W. FIFTH AVENUE, SUITE 2100,
PORTLAND, OR, 97204
::Google Map
Phone(503) 972-0150
13F Asset Last Qtr$1,477,408,000
13F Asset This Qtr$1,419,607,000
Asset Change-3.91%

2. Comparison of Holdings by Sectors with Last Quarter

3. Top 20 Holdings (Value) of This Quarter

No.SecurityPut/CallStockSharesValue(x$1000)Activity(Shr)% Port.
1.)ANSYS, INC.ANSS707,112$40,503Cut -17.55%2.85%
2.)MEDNAX, INC.MD539,932$38,881Cut -0.83%2.74%
3.)NICE-SYSTEMS LIMITED - AMERICAN DEPOSITARY SHARESNICE842,209$29,014Cut -15.41%2.04%
4.)AIRGAS INC.ARG365,325$28,525Added 11.79%2.01%
5.)SBA COMMUNICATIONS CORPORATIONSBAC651,516$27,989Added 11.41%1.97%
6.)KIRBY CORP.KEX413,487$27,224Cut -13.38%1.92%
7.)MICROS SYSTEMS, INC.MCRS568,560$26,484Cut -19.38%1.87%
8.)VERIFONE SYSTEMS INC.PAY695,801$24,715Added 28.63%1.74%
9.)AFFILIATED MANAGERS GROUP INC.AMG242,573$23,275Cut -14.26%1.64%
10.)CORE LABORATORIES N.V. (NETHERLANDS)CLB196,005$22,335Cut -13.71%1.57%
11.)WOODWARD, INC.WWD525,116$21,493Cut -8.75%1.51%
12.)LKQ CORPORATION - LKQ CORPORATION COMMON STOCKLKQX686,478$20,649Cut -30.41%1.45%
13.)CLARCOR INC.CLC405,306$20,261Cut -11.77%1.43%
14.)SXC HEALTH SOLUTIONS CORP.SXCI350,447$19,793New1.39%
15.)CATALYST HEALTH SOLUTIONS, INCCHSI377,735$19,642Cut -40.42%1.38%
16.)COOPER COMPANIES, INC.COO272,830$19,240Cut -5.41%1.36%
17.)TRIMBLE NAVIGATION LIMITEDTRMB417,910$18,137Added 6.77%1.28%
18.)HITTITE MICROWAVE CORPORATIONHITT365,493$18,048Cut -19.15%1.27%
19.)COMPLETE PRODUCTION SERVICES INCCPX526,923$17,684Cut -14.80%1.25%
20.)DICK SPORTING GOODS, INCDKS468,746$17,287Cut -27.19%1.22%

4. Top 20 (Value) Holdings BOUGHT NEW in This Quarter

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)SXC HEALTH SOLUTIONS CORP.SXCI350,447$19,7931.39%
2.)BUFFALO WILD WINGS, INC.BWLD170,134$11,4860.81%
3.)SKYWORKS SOLUTIONS, INC.SWKS677,445$10,9880.77%
4.)ALLSCRIPTS HEALTHCARE SOLUTIONS, INC.MDRX487,470$9,2330.65%
5.)WATSCO INC.WSO135,168$8,8750.63%
6.)EQUINIX, INC.EQIX81,613$8,2760.58%
7.)HAEMONETICS CORP.HAE134,154$8,2130.58%
8.)MASIMO CORPORATIONMASI438,828$8,2000.58%
9.)ZEBRA TECHNOLOGIES CORPORATIONZBRA222,774$7,9710.56%
10.)PIPER JAFFRAY COMPANIESPJC319,711$6,4580.45%
11.)GREEN MOUNTAIN COFFEE ROASTERS, INC.GMCR129,650$5,8150.41%
12.)COVANCE INC.CVD122,370$5,5950.39%
13.)REALPAGE, INC.RP198,388$5,0130.35%
14.)OYO GEOSPACE CORPORATIONOYOG63,788$4,9330.35%
15.)DIODES INCORPORATEDDIOD228,570$4,8690.34%
16.)POWER INTEGRATIONS, INC.POWI139,489$4,6250.33%
17.)ATHENAHEALTH, INC.ATHN94,106$4,6220.33%
18.)MAXIMUS INC.MMS100,897$4,1720.29%
19.)BELO CORP.BLC321,433$2,0250.14%

5. Top 20 (Value) Holdings Totally SOLD OUT in This Quarter

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)TITANIUM METALS CORP.TIE953,055$14,2770.97%
2.)VOLCANO CORPORATIONVOLC439,927$13,0350.88%
3.)MCDERMOTT INTERNATIONAL, INC. (PANAMA)MDR1,038,218$11,1710.76%
4.)TEMPUR-PEDIC INTERNATIONAL INCTPX202,567$10,6570.72%
5.)HEALTH MANAGEMENT ASSOCIATES, INC.HMA1,286,419$8,9020.60%
6.)HI-TECH PHARMACAL CO., INC.HITK254,058$8,5360.58%
7.)SOTHEBYBID265,807$7,3280.50%
8.)CYPRESS SEMICONDUCTOR CORPORATIONCY475,867$7,1240.48%
9.)GENERAL CABLE CORP. (DE)BGC296,752$6,9290.47%
10.)NETLOGIC MICROSYSTEMS, INC.NETL129,546$6,2340.42%
11.)SONIC CORP.SONC863,503$6,1050.41%
12.)DRIL-QUIP, INC.DRQ112,795$6,0810.41%
13.)POLYCOM, INC.PLCM323,544$5,9440.40%
14.)ROVI CORPORATIONROVI133,299$5,7290.39%
15.)GT ADVANCED TECHNOLOGIES INCGTAT813,580$5,7110.39%
16.)SIRONA DENTAL SYSTEMS, INC.SIRO133,897$5,6790.38%
17.)ILLUMINA, INC.ILMN128,516$5,2590.36%
18.)SCHNITZER STEEL INDUSTRIES, INC.SCHN137,768$5,0700.34%
19.)WESTPORT INNOVATIONS INCWPRT172,663$4,9950.34%
20.)ATMEL CORPORATIONATML611,967$4,9390.33%