Holdings Channel
Size ($ in 1000's)
At 12/31/2023: $4,438,377
At 09/30/2023: $4,432,298

Snyder Capital Management L P holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Snyder Capital Management L P 13F filings. Link to 13F filings: SEC filings

Snyder Capital Management L P Top Holdings
As of  12/31/2023, below is a summary of the Snyder Capital Management L P top holdings by largest position size, as per the latest 13f filing made by Snyder Capital Management L P. In the Snyder Capital Management L P-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Snyder Capital Management L P in that top holding, then the share count change between reporting periods, and finally the Snyder Capital Management L P top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
CLEAN HARBORS INC. 1,431,793 -215,475 $259,379
     CLH1,431,793-215,475$259,379
ENTEGRIS INC. 1,738,061 -277,452 $216,656
     ENTG1,738,061-277,452$216,656
BWX TECHNOLOGIES 2,432,333 -343,531 $192,376
     BWXT2,432,333-343,531$192,376
INGREDION INC. 1,381,753 -210,579 $155,776
     INGR1,381,753-210,579$155,776
KBR INC. 2,503,647 -466,862 $146,916
     KBR2,503,647-466,862$146,916
HALOZYME THERAPEUTICS INC. 3,709,599 -614,633 $142,948
     HALO3,709,599-614,633$142,948
CABOT CORP. 1,387,858 -320,387 $122,913
     CBT1,387,858-320,387$122,913
UGI CORP. 4,591,022 +897,845 $117,364
     UGI4,591,022+897,845$117,364
WASTE CONNECTIONS INC. 781,554 -55,587 $116,663
     WCN781,554-55,587$116,663
RBC BEARINGS INC. 356,076 -73,738 $107,276
     RBC356,076-73,738$107,276
AMETEK INC. 591,399 -17,165 $97,516
     AME591,399-17,165$97,516
CACI INTERNATIONAL 276,233 -83,353 $97,029
     CACI276,233-83,353$97,029
WOODWARD INC. 669,005 -116,950 $96,828
     WWD669,005-116,950$96,828
AMPHENOL CORP. CL A 975,200 -46,270 $96,672
     APH975,200-46,270$96,672
IDEX CORP. 379,786 -94,397 $87,946
     IEX379,786-94,397$87,946
SS&C TECHNOLOGIES HOLDINGS 1,424,880 +72,060 $87,074
     SSNC1,424,880+72,060$87,074
PROSPERITY BANCSHARES INC. (PB) 1,196,069 +138,191 $85,772
     PB1,196,069+138,191$85,772
HEICO CORP CLASS A      $83,473
     HEI.A574,958-109,084$83,473
GRACO INC. 820,265 -193,891 $75,614
     GGG820,265-193,891$75,614
HENRY SCHEIN INC. 984,946 -25,676 $74,570
     HSIC984,946-25,676$74,570
BIO TECHNE CORP 964,960 +838,128 $74,456
     TECH964,960+838,128$74,456
API GROUP CORP 1,899,353 -572,215 $71,279
     APG1,899,353-572,215$71,279
POWER INTEGRATIONS INC. 743,261 -224,584 $66,201
     POWI743,261-224,584$66,201
UNITED COMMUNITY BANKS INC. O 2,033,084 -230,934 $64,520
     UCBI2,033,084-230,934$64,520
COPART INC. 1,314,066 -112,866 $64,389
     CPRT1,314,066-112,866$64,389
HELEN OF TROY LTD. 486,172 -31,872 $62,492
     HELE486,172-31,872$62,492
BRIXMOR PROPERTY GROUP INC. 2,475,117 -745,657 $62,470
     BRX2,475,117-745,657$62,470
CHARLES SCHWAB CORP 896,134 +38,438 $61,654
     SCHW896,134+38,438$61,654
SYNOPSYS INC. 119,195 -16,911 $61,375
     SNPS119,195-16,911$61,375
CAE INC. 2,614,161 -787,539 $61,216
     CAE2,614,161-787,539$61,216
OPENLANE INC. 3,851,107 -1,662,148 $60,350
     KAR3,851,107-1,662,148$60,350
ANALOG DEVICES INC 302,202 -1,653 $60,005
     ADI302,202-1,653$60,005
COHERENT CORP 1,271,878 -47,910 $58,498
     COHR1,271,878-47,910$58,498
FMC CORP 884,074 -21,483 $55,741
     FMC884,074-21,483$55,741
SIMPSON MANUFACTURING 252,520 -76,259 $54,223
     SSD252,520-76,259$54,223
MCGRATH RENTCORP 409,430 -123,409 $53,120
     MGRC409,430-123,409$53,120
AGILYSYS INC. 569,021 -171,863 $52,348
     AGYS569,021-171,863$52,348
ADVANCED ENERGY INDUSTRIES IN 439,410 -64,391 $51,911
     AEIS439,410-64,391$51,911
MASTERCARD INC. CL A 107,192 -4,920 $45,718
     MA107,192-4,920$45,718
GLACIER BANCORP INC. 1,012,915 +183,626 $45,394
     GBCI1,012,915+183,626$45,394
RLI CORP. 299,727 -71,249 $43,276
     RLI299,727-71,249$43,276
VISA INC CLASS A SHARES (V) 165,441 -948 $43,073
     V165,441-948$43,073
VERRA MOBILITY CORP. 1,704,075 -103,071 $42,567
     VRRM1,704,075-103,071$42,567
SENSIENT TECHNOLOGIES CORP 538,841 -49,922 $38,575
     SXT538,841-49,922$38,575
MINERALS TECHNOLOGIES INC 496,138 -149,887 $38,372
     MTX496,138-149,887$38,372
IQVIA HOLDINGS INC. 159,483 -879 $36,901
     IQV159,483-879$36,901
CHARLES RIVER LABORATORIES 147,342 -7,492 $34,832
     CRL147,342-7,492$34,832
BROWN & BROWN INC. 465,995 -23,693 $33,137
     BRO465,995-23,693$33,137
R1 RCM INC. 2,835,047 -1,569,094 $32,501
     RCM2,835,047-1,569,094$32,501
MERCURY SYSTEMS INC. 807,257 -243,176 $32,019
     MRCY807,257-243,176$32,019

See Full List: All Stocks Held By Snyder Capital Management L P
Including:
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Snyder Capital Management L P

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