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MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

Bridge City Capital, LLC INSTITUTION : Bridge City Capital, LLC
Bridge City Capital, LLC Portfolio (reported on 2020-05-11)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
LHC Group, Inc.    (COM) LHCG 5,206,000 37,132 2.51%
Ensign Group Inc.    (COM) ENSG 4,849,000 128,919 2.34%
WD-40 CO COM    (COM) WDFC 4,737,000 23,583 2.29%
Methode Electronics, Inc.    (COM) MEI 4,721,000 178,617 2.28%
EMCOR Group Inc.    (COM) EME 4,717,000 76,930 2.28%
Haemonetics Corporation    (COM) HAE 4,643,000 46,590 2.24%
Tetra Tech Inc.    (COM) TTEK 4,101,000 58,072 1.98%
Onto Innovation Inc.    (COM) 3,934,000 132,593 1.90%
AMN Healthcare Services Inc.    (COM) AHS 3,762,000 65,081 1.82%
Amedisys Inc.    (COM) AMED 3,726,000 20,303 1.80%
Neogen Corporation    (COM) NEOG 3,666,000 54,719 1.77%
Glacier Bancorp Inc.    (COM) GBCI 3,589,000 105,553 1.73%
US Physical Therapy Inc.    (COM) USPH 3,520,000 51,011 1.70%
Lumentum Holdings Inc.    (COM) 3,516,000 47,706 1.70%
Axon Enterprise Inc.    (COM) 3,454,000 48,799 1.67%
Natus Medical Incorporated    (COM) BABY 3,301,000 142,728 1.59%
Comfort Systems USA Inc.    (COM) FIX 3,238,000 88,599 1.56%
Globus Medical, Inc.    (COM) GMED 3,230,000 75,948 1.56%
j2 Global, Inc.    (COM) JCOM 3,212,000 42,907 1.55%
RBC Bearings Incorporated    (COM) ROLL 3,167,000 28,078 1.53%
Casey's General Stores    (COM) CASY 3,123,000 23,569 1.51%
First Financial Bankshares, In    (COM) FFIN 3,072,000 114,468 1.48%
Coresite Realty Corp.    (COM) COR 3,060,000 26,406 1.48%
II-VI Incorporated    (COM) IIVI 3,010,000 105,599 1.45%
Semtech Corporation    (COM) SMTC 2,948,000 78,613 1.42%
Diodes Inc.    (COM) DIOD 2,939,000 72,318 1.42%
Healthcare Services Group, Inc    (COM) HCSG 2,893,000 120,993 1.39%
Lithia Motors, Inc.    (COM) LAD 2,893,000 35,377 1.39%
Omnicell, Inc.    (COM) OMCL 2,867,000 43,717 1.38%
Landstar System, Inc.    (COM) LSTR 2,846,000 29,694 1.37%
NIC Inc.    (COM) EGOV 2,738,000 119,043 1.32%
UFP Industries Inc.    (COM) 2,729,000 73,385 1.32%
Virtusa Corp    (COM) VRTU 2,644,000 93,110 1.27%
Herman Miller, Inc.    (COM) MLHR 2,541,000 114,452 1.22%
Entegris Inc.    (COM) ENTG 2,540,000 56,733 1.22%
Lemaitre Vascular Inc.    (COM) LMAT 2,515,000 100,930 1.21%
Sleep Number Corporation    (COM) 2,431,000 126,893 1.17%
SiteOne Landscape Supply, Inc    (COM) 2,270,000 30,835 1.09%
Exponent Inc    (COM) EXPO 2,212,000 30,757 1.07%
Supernus Pharmaceuticals Inc.    (COM) SUPN 2,203,000 122,483 1.06%
Luminex Corporation    (COM) LMNX 2,148,000 78,027 1.03%
TTEC Holdings Inc.    (COM) 2,136,000 58,179 1.03%
Perficient, Inc.    (COM) PRFT 2,124,000 78,413 1.02%
Phibro Animal Health Corporati    (COM) PAHC 2,105,000 87,100 1.01%
Tandem Diabetes Care, Inc    (COM) 2,101,000 32,647 1.01%
Gentherm Inc.    (COM) THRM 2,071,000 65,964 1.00%
Wolverine World Wide, Inc.    (COM) WWW 2,064,000 135,796 0.99%
HMS Holdings Corp.    (COM) HMSY 2,062,000 81,618 0.99%
Dorman Products Inc.    (COM) DORM 2,031,000 36,744 0.98%
Medpace Holdings Inc.    (COM) MEDP 2,002,000 27,280 0.96%
Shake Shack Inc.    (COM) 1,990,000 52,735 0.96%
Five Below Inc.    (COM) FIVE 1,978,000 28,099 0.95%
MasTec, Inc.    (COM) MTZ 1,919,000 58,626 0.92%
IES Holdings, Inc.    (COM) 1,880,000 106,496 0.90%
Quaker Chemical Corporation    (COM) KWR 1,876,000 14,856 0.90%
iRobot Corporation    (COM) IRBT 1,850,000 45,244 0.89%
La-Z-Boy Incorporated    (COM) LZB 1,841,000 89,608 0.89%
MKS Instruments    (COM) MKSI 1,802,000 22,124 0.87%
Wesbanco Inc.    (COM) WSBC 1,796,000 75,801 0.86%
Albany International Corp    (COM) AIN 1,779,000 37,589 0.86%
Rogers Corporation    (COM) ROG 1,702,000 18,023 0.82%
Lakeland Financial Corporation    (COM) LKFN 1,698,000 46,207 0.82%
Boise Cascade Company    (COM) BCC 1,556,000 65,414 0.75%
Computer Programs & Systems In    (COM) CPSI 1,546,000 69,481 0.74%
OSI Systems, Inc.    (COM) OSIS 1,475,000 21,398 0.71%
Vishay Precision Group    (COM) VPG 1,450,000 72,236 0.70%
ACI Worldwide Inc.    (COM) ACIW 1,387,000 57,440 0.67%
J&J Snack Foods Corp.    (COM) JJSF 1,386,000 11,455 0.67%
Monro, Inc.    (COM) MNRO 1,380,000 31,505 0.66%
NVE Corporation    (COM) NVEC 1,295,000 24,896 0.62%
Hope Bancorp, Inc.    (COM) 1,288,000 156,698 0.62%
Addus HomeCare Corp    (COM) ADUS 1,261,000 18,649 0.61%
Green Dot Corporation    (COM) GDOT 1,252,000 49,313 0.60%
Insteel Industries, Inc.    (COM) IIIN 1,227,000 92,569 0.59%
Century Communities, Inc.    (COM) CCS 1,224,000 84,350 0.59%
Pennant Group Inc.    (COM) 1,200,000 84,724 0.58%
Monmouth Real Estate Investmen    (COM) MNRTA 1,179,000 97,821 0.57%
Medifast, Inc    (COM) MED 1,164,000 18,622 0.56%
MEDNAX, Inc.    (COM) MD 1,056,000 90,748 0.51%
Cracker Barrel Old Country Sto    (COM) CBRL 1,031,000 12,385 0.49%
City Office REIT    (COM) CIO 996,000 137,772 0.48%
Radnet, Inc    (COM) RDNT 949,000 90,308 0.45%
Dril-Quip, Inc.    (COM) DRQ 907,000 29,728 0.43%
LTC Properties, Inc.    (COM) LTC 890,000 28,789 0.43%
American Eagle Outfitters    (COM) AEO 860,000 108,203 0.41%
SP Plus Corporation    (COM) SP 825,000 39,755 0.39%
Evercore Inc.    (COM) EVR 742,000 16,109 0.35%
Beacon Roofing Supply Inc.    (COM) BECN 721,000 43,619 0.34%
Granite Construction Incorpora    (COM) GVA 712,000 46,880 0.34%
Total Value As 2020-03-31: 206,677,000 SEC FILING
* Portfolios do not reflect changes after reporting
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George Soros

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