THB ASSET MANAGEMENT

données du 31/12/2020

Capitalisation

$ 440.314 M 22.15 %

Période de détention moyenne

9 ans

Performance

$ 2.803 B 596 832.79 %

Capitalisation

Taille du portefeuille

Performance du portefeuille

Performance du portefeuille %

Performances par rapport au S&P 500 (%)

Entreprise dans THB ASSET MANAGEMENT

Date Symbol Nom Poids Capitalisation Nombre d'action 1er ajout Performance ($) Performance (%)
2020/12/31 GES GUESS INC 2.95% 12.997 M $ 574598 2020/03/31 6.895 M $ 94.67 %
2020/12/31 TPIC TPI COMPOSITES INC 2.58% 11.368 M $ 215392 2019/09/30 6.322 M $ 82.26 %
2020/12/31 BUSE FIRST BUSEY CORP 2.52% 11.079 M $ 514112 2015/09/30 1.983 M $ 35.62 %
2020/12/31 PAR PAR TECHNOLOGY CORP 2.15% 9.461 M $ 150690 2018/03/31 5.322 M $ 55.00 %
2020/12/31 PRFT PERFICIENT INC 2.07% 9.130 M $ 191618 2020/03/31 1.001 M $ 11.49 %
2020/12/31 BJRI BJS RESTAURANTS 2.04% 8.989 M $ 233547 2020/03/31 2.268 M $ 30.74 %
2020/12/31 HY HYSTER YALE MATERIALS 2.01% 8.842 M $ 148495 2019/12/31 2.504 M $ 60.31 %
2020/12/31 REGI RENEWABLE ENERGY GROUP INC 1.91% 8.425 M $ 118975 2019/06/30 3.094 M $ 32.57 %
2020/12/31 PLUS EPLUS INC 1.76% 7.745 M $ 88065 2015/06/30 1.309 M $ 20.14 %
2020/12/31 JYNT JOINT CORP 1.67% 7.371 M $ 280694 2019/09/30 2.597 M $ 51.01 %
2020/12/31 BLFS BIOLIFE SOLUTIONS INC 1.63% 7.182 M $ 180056 2019/09/30 2.427 M $ 37.84 %
2020/12/31 UPLD UPLAND SOFTWARE INC 1.54% 6.787 M $ 147913 2019/09/30 1.360 M $ 21.73 %
2020/12/31 UCTT ULTRA CLEAN HOLDINGS 1.50% 6.619 M $ 212491 2018/03/31 2.392 M $ 45.16 %
2020/12/31 CLNE CLEAN ENERGY FLS 1.46% 6.439 M $ 819310 2020/12/31 0.000 $ 0.00 %
2020/12/31 SKYW SKYWEST INC 1.44% 6.357 M $ 157706 2020/03/31 1.399 M $ 35.00 %
2020/12/31 SNBR SLEEP NUMBER CORP 1.43% 6.283 M $ 76755 2020/06/30 3.198 M $ 67.38 %
2020/12/31 CAKE CHEESECAKE FACT 1.43% 6.282 M $ 169513 2020/03/31 1.795 M $ 33.60 %
2020/12/31 BOOT BOOT BARN HOLDINGS INC 1.42% 6.251 M $ 144167 2020/06/30 2.647 M $ 54.10 %
2020/12/31 CCS CENTURY COMMUNITIES INC 1.33% 5.843 M $ 133463 2017/03/31 266.695 K $ 3.43 %
2020/12/31 LMAT LEMAITRE VASCULAR INC 1.32% 5.827 M $ 143886 2016/03/31 1.297 M $ 24.50 %
2020/12/31 SONO SONOS INC 1.29% 5.661 M $ 242027 2019/09/30 2.441 M $ 54.09 %
2020/12/31 KOP KOPPERS HLDGS 1.28% 5.647 M $ 181227 2019/03/31 2.114 M $ 49.03 %
2020/12/31 OSBC OLD SECOND BANCORP INC 1.19% 5.240 M $ 518812 2014/12/31 1.459 M $ 34.70 %
2020/12/31 USCR US CONCRETE INC 1.19% 5.219 M $ 130593 2020/09/30 711.302 K $ 37.66 %
2020/12/31 CIR CIRCOR INTL 1.16% 5.126 M $ 133360 2020/09/30 1.193 M $ 40.55 %
2020/12/31 GBX GREENBRIER COS 1.14% 5.009 M $ 137687 2020/06/30 985.952 K $ 23.75 %
2020/12/31 MHO MI HOMES INC 1.09% 4.793 M $ 108241 2017/06/30 -213.919 K $ -3.82 %
2020/12/31 AMRX AMNEAL PHARM INC CLASS A 1.05% 4.636 M $ 1014495 2020/06/30 574.841 K $ 17.79 %
2020/12/31 VCEL VERICEL CORP 1.05% 4.628 M $ 149871 2020/12/31 0.000 $ 0.00 %
2020/12/31 ICHR ICHOR HOLDINGS 1.03% 4.554 M $ 151092 2020/06/30 1.450 M $ 39.76 %
2020/12/31 AMOT ALLIED MOTION TECH 1.03% 4.517 M $ 88399 2015/06/30 985.408 K $ 23.80 %
2020/12/31 HSC HARSCO CORP 1.02% 4.510 M $ 250843 2020/03/31 1.134 M $ 29.27 %
2020/12/31 LUNA LUNA INNOVATIONS 1.02% 4.482 M $ 453653 2020/03/31 1.164 M $ 65.22 %
2020/12/31 ONTO ONTO INNOVATION INC 1.01% 4.465 M $ 93922 2019/12/31 1.913 M $ 59.68 %
2020/12/31 TRNS TRANSCAT INC 1.00% 4.393 M $ 126693 2018/09/30 768.576 K $ 18.37 %
2020/12/31 PROVIDENCE SVC 0.99% 4.371 M $ 31535 2019/03/31 1.556 M $ 49.22 %
2020/12/31 CRMT AMERICAS CARMART INC 0.99% 4.364 M $ 39737 2020/03/31 1.271 M $ 29.41 %
2020/12/31 RVP RETRACTABLE TECHNOLOGIES INC 0.94% 4.139 M $ 385403 2020/12/31 0.000 $ 0.00 %
2020/12/31 OFIX ORTHOFIX INTL NV 0.93% 4.073 M $ 94775 2019/03/31 1.261 M $ 38.03 %
2020/12/31 ADUS ADDUS HOMECARE CORP 0.91% 4.012 M $ 34271 2015/03/31 887.326 K $ 23.90 %
2020/12/31 GHM GRAHAM CORP 0.89% 3.905 M $ 257312 2009/03/31 714.051 K $ 18.88 %
2020/12/31 NNBR NN INC 0.88% 3.859 M $ 587424 2020/09/30 586.953 K $ 27.34 %
2020/12/31 RES RPC INC 0.86% 3.771 M $ 1197400 2018/12/31 393.371 K $ 19.32 %
2020/12/31 PING PING IDENTITY HOLDING CORP 0.85% 3.743 M $ 130694 2020/03/31 -379.411 K $ -8.24 %
2020/12/31 ORN ORION MARINE GRP 0.84% 3.720 M $ 750020 2019/09/30 1.876 M $ 80.39 %
2020/12/31 RNDB RANDOLPH BANCORP INC 0.82% 3.610 M $ 163662 2016/09/30 1.805 M $ 77.48 %
2020/12/31 HFWA HERITAGE FINL 0.80% 3.544 M $ 151540 2015/09/30 517.520 K $ 27.20 %
2020/12/31 AMRC AMERESCO 0.80% 3.536 M $ 67693 2020/03/31 1.692 M $ 56.42 %
2020/12/31 NSSC NAPCO SECURITY TECH 0.79% 3.494 M $ 133282 2020/06/30 808.362 K $ 23.15 %
2020/12/31 AMBA AMBARELLA INC 0.78% 3.413 M $ 37178 2020/03/31 3.580 M $ 75.97 %
2020/12/31 JOUT JOHNSON OUTDOORS 0.76% 3.361 M $ 29845 2009/12/31 1.042 M $ 37.54 %
2020/12/31 OESX ORION ENERGY SYSTEMS INC 0.74% 3.257 M $ 330084 2020/09/30 845.956 K $ 30.39 %
2020/12/31 UTI UNIVERSAL TECHNICAL INSTITUTE 0.70% 3.099 M $ 479862 2020/03/31 735.597 K $ 27.17 %
2020/12/31 PLPC PREFRMD LINE PROD 0.70% 3.067 M $ 44814 2019/12/31 987.656 K $ 40.48 %
2020/12/31 BSET BASSETT FURN 0.68% 2.994 M $ 149151 2020/09/30 996.972 K $ 46.78 %
2020/12/31 CSII CARDIOVASCULAR SYSTEMS INC 0.66% 2.906 M $ 66412 2017/12/31 338.599 K $ 11.21 %
2020/12/31 KAI KADANT INC 0.64% 2.821 M $ 20016 2019/09/30 708.014 K $ 28.62 %
2020/12/31 KALU KAISER ALUMINUM 0.62% 2.711 M $ 27421 2020/12/31 0.000 $ 0.00 %
2020/12/31 VPG VISHAY PRECISION 0.61% 2.694 M $ 85604 2017/06/30 655.454 K $ 24.33 %
2020/12/31 TACO DEL TACO RESTAURANTS INC 0.61% 2.670 M $ 294725 2018/06/30 0.000 $ 0.00 %
2020/12/31 ATRI ATRION CORP 0.60% 2.646 M $ 4121 2015/06/30 77.464 K $ 2.59 %
2020/12/31 NWPX NORTHWEST PIPE 0.59% 2.600 M $ 91880 2019/12/31 188.936 K $ 6.96 %
2020/12/31 USX US XPRESS ENTERPRISES INC 0.58% 2.539 M $ 371339 2020/03/31 -607.456 K $ -17.19 %
2020/12/31 MLAB MESA LABORATORIES INC 0.57% 2.516 M $ 8779 2017/03/31 330.978 K $ 12.52 %
2020/12/31 WLDN WILLDAN GROUP INC 0.57% 2.505 M $ 60091 2017/06/30 1.138 M $ 63.48 %
2020/12/31 CRY CRYOLIFE INC 0.56% 2.469 M $ 104616 2017/06/30 608.632 K $ 27.83 %
2020/12/31 BCML BAYCOM CORP 0.56% 2.460 M $ 162226 2018/06/30 883.841 K $ 47.29 %
2020/12/31 RRGB REDROBIN GRMT 0.52% 2.299 M $ 119559 2020/12/31 0.000 $ 0.00 %
2020/12/31 ELY CALLAWAY GOLF CO 0.52% 2.272 M $ 94640 2019/03/31 325.286 K $ 25.45 %
2020/12/31 SF STIFEL FINL 0.50% 2.220 M $ 43997 2020/03/31 662.269 K $ 49.72 %
2020/12/31 IESC INTGRTD ELCTR SRV 0.49% 2.166 M $ 47058 2020/03/31 738.929 K $ 44.92 %
2020/12/31 ZIXI ZIX CORP 0.49% 2.149 M $ 249127 2014/06/30 776.412 K $ 47.78 %
2020/12/31 CHUY CHUYS HOLDINGS INC 0.49% 2.144 M $ 80955 2018/03/31 649.526 K $ 35.30 %
2020/12/31 IIIN INSTEEL INDUST INC 0.48% 2.121 M $ 95261 2016/12/31 399.547 K $ 19.10 %
2020/12/31 AIMC ALTRA IND MOTION 0.48% 2.117 M $ 38209 2019/03/31 2.539 M $ 49.93 %
2020/12/31 ULBI ULTRALIFE CORP 0.47% 2.071 M $ 320148 2018/03/31 202.887 K $ 9.66 %
2020/12/31 NDLS NOODLES AND CO 0.47% 2.067 M $ 261671 2019/12/31 303.332 K $ 14.99 %
2020/12/31 ASPU ASPEN GROUP 0.46% 2.006 M $ 180295 2020/09/30 -8.012 K $ -0.36 %
2020/12/31 LGND LIGAND PHARMACEUTICALS 0.45% 1.998 M $ 20096 2020/06/30 143.940 K $ 6.95 %
2020/12/31 MOV MOVADO GROUP 0.44% 1.939 M $ 116692 2020/12/31 0.000 $ 0.00 %
2020/12/31 SHYF SHYFT GROUP INC THE 0.44% 1.925 M $ 67830 2020/12/31 0.000 $ 0.00 %
2020/12/31 EXP EAGLE MATERIALS 0.43% 1.890 M $ 18650 2020/06/30 205.550 K $ 17.42 %
2020/12/31 FRANKS INTERNATIONAL 0.42% 1.833 M $ 669136 2020/03/31 894.271 K $ 77.97 %
2020/12/31 CHRS COHERUS BIOSCIENCES 0.40% 1.769 M $ 101790 2020/06/30 -108.627 K $ -5.24 %
2020/12/31 VIVO MERIDIAN HEALTHCARE 0.40% 1.757 M $ 94040 2020/06/30 179.503 K $ 10.07 %
2020/12/31 MYRG MYR GROUP 0.40% 1.747 M $ 29084 2015/03/31 832.844 K $ 61.65 %
2020/12/31 HOMB HOME BANCSHARES INC 0.40% 1.742 M $ 89456 2015/06/30 243.872 K $ 28.52 %
2020/12/31 BWEN BROADWIND EGY 0.39% 1.695 M $ 213770 2020/12/31 0.000 $ 0.00 %
2020/12/31 AEIS ADVANCED ENERGY 0.38% 1.689 M $ 17419 2019/06/30 589.603 K $ 54.09 %
2020/12/31 LNTH LANTHEUS HOLDINGS INC 0.38% 1.685 M $ 124966 2019/09/30 114.758 K $ 6.47 %
2020/12/31 GEOS GEOSPACE TECH 0.38% 1.670 M $ 195194 2020/12/31 0.000 $ 0.00 %
2020/12/31 PDEX PRO DEX 0.36% 1.606 M $ 51887 2019/09/30 135.919 K $ 8.29 %
2020/12/31 LPX LOUIS PAC 0.35% 1.534 M $ 41276 2020/06/30 313.945 K $ 25.97 %
2020/12/31 FORM FORMFACTOR INC 0.34% 1.513 M $ 35176 2020/03/31 632.191 K $ 72.58 %
2020/12/31 REX REX AMERICAN RESOURCES 0.34% 1.510 M $ 20558 2017/06/30 180.465 K $ 11.98 %
2020/12/31 AMEH APPOLLO MEDICAL HOLDINGS INC 0.33% 1.455 M $ 79692 2019/09/30 29.281 K $ 1.84 %
2020/12/31 FBMS FIRST BANCSHARES INC 0.33% 1.445 M $ 46826 2017/12/31 521.355 K $ 47.27 %
2020/12/31 ITI ITERIS INC 0.33% 1.437 M $ 254389 2020/12/31 0.000 $ 0.00 %
2020/12/31 ECHO ECHO GLOBAL LOGISTICS INC 0.31% 1.364 M $ 50866 2020/12/31 0.000 $ 0.00 %
2020/12/31 IBP INSTALLED BUILDING PRODUCTS 0.31% 1.353 M $ 13279 2018/03/31 2.374 K $ 0.18 %