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Size ($ in 1000's)
At 12/31/2023: $4,438,377 At 09/30/2023: $4,432,298
Snyder Capital Management L P holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Snyder Capital Management L P 13F filings.
Link to 13F filings: SEC filings
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As of 12/31/2023, below is a summary of the Snyder Capital Management L P top holdings by largest position size, as per the latest 13f filing made by Snyder Capital Management L P.
In the Snyder Capital Management L P-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Snyder Capital Management L P in that top holding, then the share count change between reporting periods, and finally the Snyder Capital Management L P top holding position size
for that row.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
CLEAN HARBORS INC. |
1,431,793 |
-215,475 |
$259,379 | CLH | 1,431,793 | -215,475 | $259,379 | ENTEGRIS INC. |
1,738,061 |
-277,452 |
$216,656 | ENTG | 1,738,061 | -277,452 | $216,656 | BWX TECHNOLOGIES |
2,432,333 |
-343,531 |
$192,376 | BWXT | 2,432,333 | -343,531 | $192,376 | INGREDION INC. |
1,381,753 |
-210,579 |
$155,776 | INGR | 1,381,753 | -210,579 | $155,776 | KBR INC. |
2,503,647 |
-466,862 |
$146,916 | KBR | 2,503,647 | -466,862 | $146,916 | HALOZYME THERAPEUTICS INC. |
3,709,599 |
-614,633 |
$142,948 | HALO | 3,709,599 | -614,633 | $142,948 | CABOT CORP. |
1,387,858 |
-320,387 |
$122,913 | CBT | 1,387,858 | -320,387 | $122,913 | UGI CORP. |
4,591,022 |
+897,845 |
$117,364 | UGI | 4,591,022 | +897,845 | $117,364 | WASTE CONNECTIONS INC. |
781,554 |
-55,587 |
$116,663 | WCN | 781,554 | -55,587 | $116,663 | RBC BEARINGS INC. |
356,076 |
-73,738 |
$107,276 | RBC | 356,076 | -73,738 | $107,276 | AMETEK INC. |
591,399 |
-17,165 |
$97,516 | AME | 591,399 | -17,165 | $97,516 | CACI INTERNATIONAL |
276,233 |
-83,353 |
$97,029 | CACI | 276,233 | -83,353 | $97,029 | WOODWARD INC. |
669,005 |
-116,950 |
$96,828 | WWD | 669,005 | -116,950 | $96,828 | AMPHENOL CORP. CL A |
975,200 |
-46,270 |
$96,672 | APH | 975,200 | -46,270 | $96,672 | IDEX CORP. |
379,786 |
-94,397 |
$87,946 | IEX | 379,786 | -94,397 | $87,946 | SS&C TECHNOLOGIES HOLDINGS |
1,424,880 |
+72,060 |
$87,074 | SSNC | 1,424,880 | +72,060 | $87,074 | PROSPERITY BANCSHARES INC. (PB) |
1,196,069 |
+138,191 |
$85,772 | PB | 1,196,069 | +138,191 | $85,772 | HEICO CORP CLASS A |
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$83,473 | HEI.A | 574,958 | -109,084 | $83,473 | GRACO INC. |
820,265 |
-193,891 |
$75,614 | GGG | 820,265 | -193,891 | $75,614 | HENRY SCHEIN INC. |
984,946 |
-25,676 |
$74,570 | HSIC | 984,946 | -25,676 | $74,570 | BIO TECHNE CORP |
964,960 |
+838,128 |
$74,456 | TECH | 964,960 | +838,128 | $74,456 | API GROUP CORP |
1,899,353 |
-572,215 |
$71,279 | APG | 1,899,353 | -572,215 | $71,279 | POWER INTEGRATIONS INC. |
743,261 |
-224,584 |
$66,201 | POWI | 743,261 | -224,584 | $66,201 | UNITED COMMUNITY BANKS INC. O |
2,033,084 |
-230,934 |
$64,520 | UCBI | 2,033,084 | -230,934 | $64,520 | COPART INC. |
1,314,066 |
-112,866 |
$64,389 | CPRT | 1,314,066 | -112,866 | $64,389 | HELEN OF TROY LTD. |
486,172 |
-31,872 |
$62,492 | HELE | 486,172 | -31,872 | $62,492 | BRIXMOR PROPERTY GROUP INC. |
2,475,117 |
-745,657 |
$62,470 | BRX | 2,475,117 | -745,657 | $62,470 | CHARLES SCHWAB CORP |
896,134 |
+38,438 |
$61,654 | SCHW | 896,134 | +38,438 | $61,654 | SYNOPSYS INC. |
119,195 |
-16,911 |
$61,375 | SNPS | 119,195 | -16,911 | $61,375 | CAE INC. |
2,614,161 |
-787,539 |
$61,216 | CAE | 2,614,161 | -787,539 | $61,216 | OPENLANE INC. |
3,851,107 |
-1,662,148 |
$60,350 | KAR | 3,851,107 | -1,662,148 | $60,350 | ANALOG DEVICES INC |
302,202 |
-1,653 |
$60,005 | ADI | 302,202 | -1,653 | $60,005 | COHERENT CORP |
1,271,878 |
-47,910 |
$58,498 | COHR | 1,271,878 | -47,910 | $58,498 | FMC CORP |
884,074 |
-21,483 |
$55,741 | FMC | 884,074 | -21,483 | $55,741 | SIMPSON MANUFACTURING |
252,520 |
-76,259 |
$54,223 | SSD | 252,520 | -76,259 | $54,223 | MCGRATH RENTCORP |
409,430 |
-123,409 |
$53,120 | MGRC | 409,430 | -123,409 | $53,120 | AGILYSYS INC. |
569,021 |
-171,863 |
$52,348 | AGYS | 569,021 | -171,863 | $52,348 | ADVANCED ENERGY INDUSTRIES IN |
439,410 |
-64,391 |
$51,911 | AEIS | 439,410 | -64,391 | $51,911 | MASTERCARD INC. CL A |
107,192 |
-4,920 |
$45,718 | MA | 107,192 | -4,920 | $45,718 | GLACIER BANCORP INC. |
1,012,915 |
+183,626 |
$45,394 | GBCI | 1,012,915 | +183,626 | $45,394 | RLI CORP. |
299,727 |
-71,249 |
$43,276 | RLI | 299,727 | -71,249 | $43,276 | VISA INC CLASS A SHARES (V) |
165,441 |
-948 |
$43,073 | V | 165,441 | -948 | $43,073 | VERRA MOBILITY CORP. |
1,704,075 |
-103,071 |
$42,567 | VRRM | 1,704,075 | -103,071 | $42,567 | SENSIENT TECHNOLOGIES CORP |
538,841 |
-49,922 |
$38,575 | SXT | 538,841 | -49,922 | $38,575 | MINERALS TECHNOLOGIES INC |
496,138 |
-149,887 |
$38,372 | MTX | 496,138 | -149,887 | $38,372 | IQVIA HOLDINGS INC. |
159,483 |
-879 |
$36,901 | IQV | 159,483 | -879 | $36,901 | CHARLES RIVER LABORATORIES |
147,342 |
-7,492 |
$34,832 | CRL | 147,342 | -7,492 | $34,832 | BROWN & BROWN INC. |
465,995 |
-23,693 |
$33,137 | BRO | 465,995 | -23,693 | $33,137 | R1 RCM INC. |
2,835,047 |
-1,569,094 |
$32,501 | RCM | 2,835,047 | -1,569,094 | $32,501 | MERCURY SYSTEMS INC. |
807,257 |
-243,176 |
$32,019 | MRCY | 807,257 | -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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