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Latest SNYDER CAPITAL MANAGEMENT L P Stock Portfolio

$4.67Billion

Equity Portfolio Value
Last Reported on: 15 May, 2024

About SNYDER CAPITAL MANAGEMENT L P and it’s 13F Hedge Fund Stock Holdings

SNYDER CAPITAL MANAGEMENT L P is a hedge fund based in SAN FRANCISCO, CA. On 23-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $4.7 Billions. In it's latest 13F Holdings report, SNYDER CAPITAL MANAGEMENT L P reported an equity portfolio of $4.7 Billions as of 31 Mar, 2024.

The top stock holdings of SNYDER CAPITAL MANAGEMENT L P are CLH, ENTG, BWXT. The fund has invested 6.2% of it's portfolio in CLEAN HARBORS INC and 5.1% of portfolio in ENTEGRIS INC.

The fund managers got completely rid off MCGRATH RENTCORP (MGRC), R1 RCM INC. (RCM) and NELNET INC. CL A (NNI) stocks. They significantly reduced their stock positions in SYNOPSYS INC (SNPS), OPENLANE INC (KAR) and BWX TECHNOLOGIES INC (BWXT). The fund showed a lot of confidence in some stocks as they added substantially to MID-AMERICA APARTMENT COMMUNIT (MAA), CAE INC (CAE) and HELEN OF TROY LTD (HELE).

New Buys

No new stocks were added by SNYDER CAPITAL MANAGEMENT L P

Additions

Ticker% Inc.
MID-AMERICA APARTMENT COMMUNIT80.97
CAE INC58.96
HELEN OF TROY LTD39.42
BRINKS CO38.1
SENSIENT TECHNOLOGIES CORP33.12
VERRA MOBILITY CORP CL A25.23
FTI CONSULTING INC19.65
MINERALS TECHNOLOGIES INC19.12

Additions to existing portfolio by SNYDER CAPITAL MANAGEMENT L P

Reductions

Ticker% Reduced
SYNOPSYS INC-50.51
OPENLANE INC-44.53
BWX TECHNOLOGIES INC-10.43
MARKEL GROUP INC-6.25
BROWN & BROWN INC-6.24
CHARLES RIVER LABORATORIES-6.24
DOLBY LABORATORIES INC CL A-6.24
FIRST AMERICAN FINANCIAL CORP-6.24

SNYDER CAPITAL MANAGEMENT L P reduced stake in above stock

Sold off

Ticker$ Sold
R1 RCM INC.-32,501,000
MCGRATH RENTCORP-53,119,700
NELNET INC. CL A-6,598,680
INGEVITY CORP-21,249

SNYDER CAPITAL MANAGEMENT L P got rid off the above stocks

Current Stock Holdings of SNYDER CAPITAL MANAGEMENT L P

Last Reported on: 15 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ADIANALOG DEVICES INC1.30307,34060,788,800ADDED1.7
AEISADVANCED ENERGY INDUSTRIES1.01463,70447,288,500ADDED5.53
AGYSAGILYSYS INC1.08600,28850,580,300ADDED5.49
AMEAMETEK INC2.26576,826105,501,000REDUCED-2.46
APGAPI GROUP CORP1.692,004,08078,700,100ADDED5.51
APHAMPHENOL CORP CL A2.27920,454106,174,000REDUCED-5.61
BCOBRINKS CO0.77390,93236,114,300ADDED38.1
BROBROWN & BROWN INC0.82436,92038,248,000REDUCED-6.24
BRXBRIXMOR PROPERTY GROUP INC1.312,611,60061,241,900ADDED5.51
BWXTBWX TECHNOLOGIES INC4.792,178,600223,567,000REDUCED-10.43
CACICACI INTERNATIONAL INC CL A2.36291,415110,397,000ADDED5.5
CAECAE INC1.844,155,60085,771,500ADDED58.96
CBTCABOT CORP2.921,481,480136,593,000ADDED6.75
CDMOAVID BIOSERVICES INC0.312,181,66014,617,100ADDED5.8
CGNXCOGNEX CORP0.60658,19027,920,400ADDED16.23
CLHCLEAN HARBORS INC6.251,450,940292,089,000ADDED1.34
COHRCOHERENT CORP1.811,393,51084,474,600ADDED9.56
CPRTCOPART INC1.611,301,56075,386,400REDUCED-0.95
CRLCHARLES RIVER LABORATORIES0.80138,14637,430,700REDUCED-6.24
DLBDOLBY LABORATORIES INC CL A0.52290,12924,304,100REDUCED-6.24
DORMDORMAN PRODS INC0.59283,81027,356,400ADDED16.77
ENTGENTEGRIS INC5.141,709,840240,301,000REDUCED-1.62
FAFFIRST AMERICAN FINANCIAL CORP0.36274,49816,758,100REDUCED-6.24
FCNFTI CONSULTING INC0.70155,88132,780,200ADDED19.65
FMCFMC CORP1.19869,93055,414,500REDUCED-1.6
GBCIGLACIER BANCORP INC1.031,197,14048,220,700ADDED18.19
GGGGRACO INC1.68840,19378,524,400ADDED2.43
HALOHALOZYME THERAPEUTICS INC3.594,117,230167,489,000ADDED10.99
HBANHUNTINGTON BANCSHARES INC0.702,327,36032,466,700REDUCED-6.2
HEIHEICO CORP CL A1.85562,46586,585,900REDUCED-2.17
HELEHELEN OF TROY LTD1.67677,81378,111,200ADDED39.42
HSICHENRY SCHEIN INC1.671,035,17078,176,000ADDED5.1
HXLHEXCEL CORP0.30192,98714,059,100REDUCED-6.24
IEXIDEX CORP2.04391,16195,451,100ADDED3.00
INGRINGREDION INC3.761,504,100175,754,000ADDED8.85
IQVIQVIA HOLDINGS INC0.88162,24041,028,900ADDED1.73
KAROPENLANE INC0.792,136,05036,953,700REDUCED-44.53
KBRKBR INC3.562,612,490166,311,000ADDED4.35
KEYSKEYSIGHT TECHNOLOGIES INC0.36105,90116,560,800REDUCED-6.24
LKQLKQ CORP0.71619,10433,066,300REDUCED-6.2
MAMASTERCARD INC CL A1.08105,26350,691,500REDUCED-1.8
MAAMID-AMERICA APARTMENT COMMUNIT0.2691,21512,002,100ADDED80.97
MGRCMCGRATH RENTCORP0.000.000.00SOLD OFF-100
MKLMARKEL GROUP INC0.288,44212,844,300REDUCED-6.25
MRCYMERCURY SYSTEMS INC0.54851,76825,127,200ADDED5.51
MTXMINERALS TECHNOLOGIES INC0.95591,02044,492,000ADDED19.12
NGVTINGEVITY CORP0.000.000.00SOLD OFF-100
NNINELNET INC. CL A0.000.000.00SOLD OFF-100
NNNNNN REIT INC0.54585,55925,026,800REDUCED-6.24
PBPROSPERITY BANCSHARES INC1.721,219,68080,230,800ADDED1.97
PDFSPDF SOLUTIONS INC0.68946,17331,857,600ADDED5.49
POWIPOWER INTEGRATIONS INC1.28836,33259,839,600ADDED12.52
PPBIPACIFIC PREMIER BANCORP0.34663,68615,928,500ADDED5.55
RCMR1 RCM INC.0.000.000.00SOLD OFF-100
RLIRLI CORP1.00316,29046,959,600ADDED5.53
ROLLRBC BEARINGS INC2.15371,298100,380,000ADDED4.27
SCHWCHARLES SCHWAB CORP1.41911,26765,921,100ADDED1.69
SNPSSYNOPSYS INC0.7258,99433,715,100REDUCED-50.51
SSDSIMPSON MANUFACTURING1.17266,39354,658,500ADDED5.49
SSNCSS&C TECHNOLOGIES HOLDINGS IN1.921,395,95089,857,500REDUCED-2.03
STESTERIS PLC0.49101,63422,849,400REDUCED-6.24
SXTSENSIENT TECHNOLOGIES CORP1.06717,30249,630,100ADDED33.12
TECHBIO TECHNE CORP1.541,022,62071,982,200ADDED5.98
UCBIUNITED COMMUNITY BANKS INC OF1.212,146,20056,488,000ADDED5.56
UGIUGI CORP2.775,274,630129,439,000ADDED14.89
VVISA INC CL A1.00168,28746,965,500ADDED1.72
VRRMVERRA MOBILITY CORP CL A1.142,133,97053,285,300ADDED25.23
VVVVALVOLINE INC0.75788,19335,129,800ADDED15.31
WCNWASTE CONNECTIONS INC2.82764,406131,485,000REDUCED-2.19
WWDWOODWARD INC2.26686,083105,739,000ADDED2.55