Universe · entity
Tributary Capital Management, LLC
Institutional manager (13F) · CIK 1441888
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $875M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | ESCO TECHNOLOGIES INC COM | $40M | 140,896 |
| 2 | ENPRO INC | $31M | 124,767 |
| 3 | VIAVI SOLUTIONS INC | $27M | 821,040 |
| 4 | MOELIS & CO | $27M | 476,195 |
| 5 | ADVANCED ENERGY INDS INC COM | $26M | 79,628 |
| 6 | SEACOAST BKG CORP FLA | $25M | 813,439 |
| 7 | NORTHERN OIL & GAS INC COMMON | $24M | 830,407 |
| 8 | DIODES INC | $23M | 341,227 |
| 9 | ATLANTIC UNION BANKSHARES CO | $23M | 638,899 |
| 10 | IDACORP INC | $23M | 158,760 |
| 11 | BENCHMARK ELECTRS INC | $22M | 397,464 |
| 12 | KAISER ALUMINUM CORP | $21M | 176,234 |
| 13 | COHU INC | $21M | 687,219 |
| 14 | MARCUS & MILLICHAP INC | $20M | 762,466 |
| 15 | BALCHEM CORP | $20M | 117,708 |
| 16 | LITTELFUSE INC | $19M | 56,584 |
| 17 | SELECTIVE INS GROUP INC | $19M | 250,607 |
| 18 | ENERSYS | $18M | 100,854 |
| 19 | KORN FERRY COMMON STOCK | $17M | 276,081 |
| 20 | ADDUS HOMECARE CORP COM | $17M | 179,793 |
| 21 | POWER INTEGRATIONS INC | $17M | 325,433 |
| 22 | EXLSERVICE HOLDINGS INC | $17M | 546,296 |
| 23 | SUNSTONE HOTEL INVS INC NEW CO | $16M | 1,769,325 |
| 24 | STEWART INFORMATION SERVICES C | $16M | 256,938 |
| 25 | CHESAPEAKE UTILITIES CORP | $15M | 122,242 |
| 26 | PRESTIGE CONSUMER HEALTHCARE I | $15M | 260,462 |
| 27 | CONCENTRA GROUP HOLDINGS PAR | $15M | 712,042 |
| 28 | DORMAN PRODUCTS INC | $15M | 146,019 |
| 29 | ALAMO GROUP INC | $15M | 92,049 |
| 30 | CSW INDUSTRIALS INC | $15M | 57,518 |
| 31 | MONARCH CASINO & RESORT INC | $15M | 156,152 |
| 32 | ORIGIN BANCORP INC | $15M | 356,944 |
| 33 | MARZETTI COMPANY | $15M | 105,096 |
| 34 | FB FINL CORP | $14M | 277,308 |
| 35 | PATRICK INDS INC | $14M | 127,228 |
| 36 | ACUSHNET HLDGS CORP | $14M | 150,467 |
| 37 | EPLUS INC | $14M | 182,998 |
| 38 | ICF INTERNATIONAL INC | $14M | 210,646 |
| 39 | LIVERAMP HLDGS INC | $14M | 514,630 |
| 40 | INTEGER HOLDINGS CORP | $13M | 152,141 |
| 41 | FRANKLIN ELEC INC | $13M | 141,804 |
| 42 | OLLIE'S BARGAIN OUTLET HLDGS | $12M | 133,185 |
| 43 | BOOT BARN HOLDINGS INC | $12M | 82,060 |
| 44 | MERCANTILE BANK CORP | $11M | 224,632 |
| 45 | ENOVIS CORP | $11M | 495,060 |
| 46 | AMN HEALTHCARE SERVICES INC | $11M | 598,497 |
| 47 | CASS INFORMATION SYSTEMS INC | $11M | 248,938 |
| 48 | GULFPORT ENERGY CORP NEW | $11M | 51,282 |
| 49 | PREFORMED LINE PRODUCTS CO | $11M | 39,391 |
| 50 | INTERPARFUMS INC | $10M | 114,093 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.