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Institutional Investment Manager
Tygh Capital Management, Inc.
Tygh Capital Management, Inc. (CIK: 0001308001) incorporated in Oregon, located at 1211 S.W. Fifth Avenue, Suite 2100, Portland, OR. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 91 holdings with a total value of $343,045,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 ZEBRA TECHNOLOGIES CORPORATION CL A 51,871 3,579,000 1.04%
52 Abaxis Inc 79,143 3,592,000 1.05%
53 ENVISION HEALTHCARE HLDGS INC 181,083 3,694,000 1.08%
54 MOTORCAR PTS AMER INC 99,131 3,765,000 1.10%
55 APOGEE ENTERPRISES INC COM 92,364 4,054,000 1.18%
56 FORMFACTOR INC COM 569,482 4,140,000 1.21%
57 PRIVATEBANCORP INC 107,889 4,165,000 1.21%
58 ULTRATECH INC COM 192,753 4,210,000 1.23%
59 CACI INTL INC CL A 40,375 4,308,000 1.26%
60 AMSURG CORP 58,276 4,347,000 1.27%
61 HESKA CORP 152,781 4,354,000 1.27%
62 TREX CO INC COM 91,052 4,364,000 1.27%
63 Syntel Inc Com 87,987 4,393,000 1.28%
64 IMPAX LABORATORIES INC 137,975 4,418,000 1.29%
65 EAGLE MATERIALS INC 63,436 4,447,000 1.30%
66 BOOZ ALLEN HAMILTON HLDG COR 149,474 4,526,000 1.32%
67 BANK OF THE OZARKS INC 108,097 4,537,000 1.32%
68 BURLINGTON STORES INC 80,931 4,552,000 1.33%
69 CommVault Systems Inc 105,823 4,568,000 1.33%
70 CSRA INC 170,129 4,576,000 1.33%
71 BUFFALO WILD WINGS INC 31,703 4,696,000 1.37%
72 TEXAS ROADHOUSE INC 107,782 4,697,000 1.37%
73 ACUITY BRANDS INC 22,339 4,873,000 1.42%
74 MEDNAX INC 78,408 5,067,000 1.48%
75 MICROSEMI CORP 137,640 5,273,000 1.54%
76 CARDTRONICS INC COM 148,064 5,329,000 1.55%
77 EMCOR GROUP INC 111,313 5,410,000 1.58%
78 AMERISAFE INC COM 104,757 5,504,000 1.60%
79 INTEGRATED DEVICE TECHNOLOGY 270,507 5,529,000 1.61%
80 APTARGROUP INC 70,618 5,537,000 1.61%
81 TREEHOUSE FOODS INC 68,896 5,977,000 1.74%
82 HEADWATERS INC COM 338,452 6,715,000 1.96%
83 DYCOM INDS INC 105,664 6,833,000 1.99%
84 INPHI CORPORATION 213,899 7,131,000 2.08%
85 TAKE-TWO INTERACTIVE SOFTWAR 201,777 7,601,000 2.22%
86 LKQ CORP 247,518 7,903,000 2.30%
87 On Assignment Inc 220,886 8,155,000 2.38%
88 TOWER SEMICONDUCTOR LTD 692,318 8,391,000 2.45%
89 WASTE CONNECTIONS INC COM 136,086 8,790,000 2.56%
90 CENTENE CORP DEL 166,262 10,237,000 2.98%
91 VCA INCORPORATED 196,513 11,337,000 3.30%
Page 2 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001308001-16-000012, filed 2016.05.05).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.