Tributary Capital Management, Llc

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$1.03B
Q ending 2026-03-31
Prior quarter
$1.02B
Q ending 2025-12-31
Change
+1.5% QoQ · -10.0% YoY
Positions
164
reported holdings

Largest positions

Top 100 of 164 reported positions by value, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
HoldingTickerTypeValueShares
Esco Technologies Inc ComESEShares$39.6M141K
Enpro IncNPOShares$31.3M125K
Viavi Solutions IncVIAVShares$27.3M821K
Moelis & CoMCShares$27.1M476K
Advanced Energy Inds Inc ComAEISShares$25.7M80K
Seacoast Bkg Corp FlaSBCFShares$24.6M813K
Northern Oil & Gas Inc CommonNOGShares$24.3M830K
Diodes IncDIODShares$23.3M341K
Atlantic Union Bankshares CoAUBShares$22.8M639K
Idacorp IncIDAShares$22.7M159K
Benchmark Electrs IncBHEShares$22.3M397K
Kaiser Aluminum CorpKALUShares$21.2M176K
Cohu IncCOHUShares$21.0M687K
Marcus & Millichap IncMMIShares$20.3M762K
Balchem CorpBCPCShares$19.9M118K
Littelfuse IncLFUSShares$19.2M57K
Selective Ins Group IncSIGIShares$18.9M251K
EnersysENSShares$17.5M101K
Korn Ferry Common StockKFYShares$17.4M276K
Addus Homecare Corp ComADUSShares$16.8M180K
Power Integrations IncPOWIShares$16.7M325K
Exlservice Holdings IncEXLSShares$16.6M546K
Sunstone Hotel Invs Inc New CoSHOShares$15.9M1.8M
Stewart Information Services CSTCShares$15.8M257K
Chesapeake Utilities CorpCPKShares$15.4M122K
Prestige Consumer Healthcare IPBHShares$15.4M260K
Concentra Group Holdings ParCONShares$15.3M712K
Dorman Products IncDORMShares$15.2M146K
Alamo Group IncALGShares$15.2M92K
Csw Industrials IncCSWShares$15.0M58K
Monarch Casino & Resort IncMCRIShares$14.9M156K
Origin Bancorp IncOBKShares$14.8M357K
Marzetti CompanyMZTIShares$14.5M105K
Fb Finl CorpFBKShares$14.4M277K
Patrick Inds IncPATKShares$14.1M127K
Acushnet Hldgs CorpGOLFShares$14.1M150K
Eplus IncPLUSShares$13.8M183K
Icf International IncICFIShares$13.8M211K
Liveramp Hldgs IncRAMPShares$13.6M515K
Integer Holdings CorpITGRShares$13.4M152K
Franklin Elec IncFELEShares$13.1M142K
Ollie'S Bargain Outlet HldgsOLLIShares$12.3M133K
Boot Barn Holdings IncBOOTShares$12.0M82K
Mercantile Bank CorpMBWMShares$11.3M225K
Enovis CorpENOVShares$11.3M495K
Amn Healthcare Services IncAMNShares$11.0M598K
Cass Information Systems IncCASSShares$11.0M249K
Gulfport Energy Corp NewGPORShares$10.8M51K
Preformed Line Products CoPLPCShares$10.7M39K
Interparfums IncIPARShares$10.4M114K
Kforce IncKFRCShares$10.3M352K
Netstreit Corp ComNTSTShares$10.2M540K
Mcgrath RentcorpMGRCShares$9.5M86K
Qualys IncQLYSShares$9.1M103K
Frontdoor IncFTDRShares$8.8M167K
Conmed CorpCNMDShares$8.8M249K
Blackbaud Inc ComBLKBShares$8.8M227K
Baldwin Insurance Group IncBWINShares$8.1M368K
Simulations Plus IncSLPShares$6.5M548K
Nvidia Corp ComNVDAShares$3.7M21K
Apple IncAAPLShares$3.3M13K
Alphabet Inc Cap Stk Cl CGOOGShares$2.7M9K
Microsoft CorpMSFTShares$2.4M6K
Amazon.Com Inc ComAMZNShares$1.8M9K
Burlington Stores IncBURLShares$1.6M5K
Broadcom IncAVGOShares$1.5M5K
Meta Platform, IncMETAShares$1.3M2K
Onto Innovation IncONTOShares$1.3M6K
Caci Intl IncCACIShares$1.3M2K
Permian Resources CorpPRShares$1.2M57K
Markel CorpMKLShares$1.2M609
Stifel Finl CorpSFShares$1.2M16K
Southstate Bank CorpSSBShares$1.1M12K
Lamar Advertising CoLAMRShares$1.1M9K
Jpmorgan Chase & CoJPMShares$1.1M4K
Ptc IncPTCShares$1.0M7K
Tetra Tech Inc NewTTEKShares$982K33K
Carlisle Cos IncCSLShares$980K3K
Exxon Mobil CorpXOMShares$963K6K
Casey'S General Stores IncCASYShares$956K1K
Lilly Eli & Co ComLLYShares$929K1K
Lincoln Electric Co HoldingsLECOShares$899K4K
Jones Lang Lasalle IncJLLShares$842K3K
Revvity IncRVTYShares$837K10K
Rtx CorpRTXShares$817K4K
Rpm Intl Inc ComRPMShares$814K8K
Aaon Inc Com ParAAONShares$809K10K
Agree Realty CorpADCShares$797K11K
Tesla Motors, Inc.TSLAShares$788K2K
Tractor Supply Co ComTSCOShares$785K17K
Broadridge Finl Solutions IncBRShares$783K5K
Wyndham Hotels & Resorts Inc CWHShares$738K9K
Mastercard Inc Cl AMAShares$710K1K
Eastgroup Pptys Inc ComEGPShares$701K4K
Wal Mart Stores Inc ComWMTShares$697K6K
Reliance Inc ComRSShares$688K2K
Dynatrace IncDTShares$660K18K
Cullen Frost Bankers IncCFRShares$658K5K
Manhattan Associates IncMANHShares$655K5K
Icon Plc ShsShares$645K6K

Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.