FOSCX
TRIBUTARY SMALL COMPANY FUND
TRIBUTARY CAPITAL MANAGEMENT, LLC

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
FB FINANCIAL CORP 0 165,239 165,239 1.51% $8.58M
MARZETTI COMPANY/THE 0 59,919 59,919 1.46% $8.29M
GULFPORT ENERGY CORP 0 32,836 32,836 1.22% $6.95M
PREFORMED LINE PRODUCTS CO 0 23,521 23,521 1.12% $6.37M
FRONTDOOR INC 0 99,641 99,641 0.92% $5.27M
QUALYS INC 0 57,695 57,695 0.89% $5.07M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
UMB FINANCIAL CORP 72,887 0 -72,887 0.00% -$8.38M
CTS CORP 158,764 0 -158,764 0.00% -$6.81M
CARETRUST REIT INC 162,340 0 -162,340 0.00% -$5.87M
UTZ BRANDS INC A 561,745 0 -561,745 0.00% -$5.83M
WALKER & DUNLOP 89,610 0 -89,610 0.00% -$5.39M
AMBARELLA INC 63,579 0 -63,579 0.00% -$4.50M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
MOELIS & CO-CL A 210,352 272,311 61,959 2.73% $1.06M
SEACOAST BANKING CORP FLORIDA 428,592 472,730 44,138 2.51% $852.63K
MARCUS & MILLICH 368,957 454,816 85,859 2.12% $2.02M
SUNSTONE HOTEL INVS INC 917,241 1,055,644 138,403 1.67% $1.31M
EXLSERVICE HOLDINGS INC 230,861 307,465 76,604 1.64% -$435.43K
PRESTIGE CONSUMER HEALTHCARE INC 133,573 155,431 21,858 1.62% $972.28K
POWER INTEGRATIONS INC 172,805 176,110 3,305 1.58% $2.88M
CONCENTRA GROUP HOLDINGS PARENT INC 341,035 406,848 65,813 1.53% $2.02M
DORMAN PRODUCTS INC 61,686 82,950 21,264 1.52% $1.06M
EPLUS INC 95,342 109,162 13,820 1.44% -$147.05K
OLLIES BARGAIN OUTLET HOLDINGS INC 62,422 72,356 9,934 1.17% -$182.43K
AMN HEALTHCARE SERVICES INC 217,768 344,727 126,959 1.11% $2.89M
SIMULATIONS PLUS INC 312,846 312,988 142 0.65% -$2.00M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ESCO TECHNOLOGIES INC 85,930 84,097 -1,833 4.16% $6.87M
ENPRO INDUSTRIES INC 73,046 71,488 -1,558 3.15% $2.28M
VIAVI SOLUTIONS INC 607,812 489,015 -118,797 2.86% $5.44M
ADV ENERGY INDS 82,773 47,504 -35,269 2.69% -$2.00M
NORTHERN OIL AND GAS INC 524,881 513,694 -11,187 2.64% $3.75M
BENCHMARK ELECTRONICS INC 242,432 237,264 -5,168 2.34% $2.93M
DIODES INC 197,680 193,465 -4,215 2.32% $3.45M
ATLANTIC UNION B 374,795 366,807 -7,988 2.30% -$120.58K
KAISER ALUMINUM 137,833 105,147 -32,686 2.23% -$3.16M
IDACORP INC 90,346 88,421 -1,925 2.22% $1.21M
COHU INC 418,969 410,039 -8,930 2.20% $2.81M
BALCHEM CORP 67,943 66,496 -1,447 1.98% $850.00K
SELECTIVE INSURANCE GROUP INC 145,879 142,770 -3,109 1.89% -$1.44M
LITTELFUSE INC 31,709 31,035 -674 1.85% $2.51M
KORN FERRY 168,335 164,747 -3,588 1.82% -$742.65K
ADDUS HOMECARE CORP 109,647 107,309 -2,338 1.76% -$1.73M
MONARCH CASINO and RESORT INC 107,122 104,839 -2,283 1.76% -$228.97K
ENERSYS INC 67,734 56,820 -10,914 1.73% -$69.19K
ACUSHNET HOLDINGS CORP 126,001 104,118 -21,883 1.71% -$324.45K
STEWART INFO SVC 156,712 153,372 -3,340 1.66% -$1.57M
PATRICK INDUSTRIES INC 85,561 83,737 -1,824 1.63% $23.29K
CHESAPEAKE UTILITIES CORP 74,570 72,980 -1,590 1.62% -$80.87K
ALAMO GROUP INC 56,165 54,967 -1,198 1.59% -$360.51K
CSW INDUSTRI INC 35,076 34,329 -747 1.57% -$1.35M
ORIGIN BANCORP INC 217,715 213,074 -4,641 1.55% $645.79K
BLKR-LIQ T-INS 10,504,216 8,552,619 -1,951,597 1.50% -$1.95M
LIVERAMP HOLDINGS INC 313,793 307,105 -6,688 1.43% -$1.07M
ICF INTERNATIONAL INC 122,320 119,713 -2,607 1.37% -$2.62M
INTEGER HOLDINGS CORP 122,433 86,025 -36,408 1.33% -$2.03M
FRANKLIN ELECTRIC CO. INC. 82,301 80,546 -1,755 1.30% -$438.29K
BOOT BARN HOLDINGS INC 62,579 48,945 -13,634 1.26% -$3.88M
MERCANTILE BANK CORP 136,992 134,072 -2,920 1.19% $181.32K
CASS INFORMATION SYSTEMS INC 151,821 148,586 -3,235 1.15% $237.15K
INTERPARFUMS INC 69,573 68,091 -1,482 1.09% $283.51K
ENOVIS CORP 304,379 268,103 -36,276 1.07% -$2.01M
NETSTREIT CORP 429,696 322,236 -107,460 1.07% -$1.51M
KFORCE INC 228,285 201,077 -27,208 1.03% -$1.18M
MCGRATH RENTCORP 52,325 51,210 -1,115 0.99% $156.98K
CONMED CORP 161,498 142,250 -19,248 0.88% -$1.53M
BRP GROUP INC-A 224,657 219,868 -4,789 0.85% -$574.60K
BLACKBAUD INC 140,988 124,186 -16,802 0.84% -$4.13M

No positions in this category.

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.