Q4 2024 · 13F-HR
SNYDER CAPITAL MANAGEMENT L Pholdings as filed
Filed 2025-02-14 · accession 0000935836-25-000152
$4.78B
Reported value
69
Positions
2024-12-31
Period end
Holdings as filed
| CUSIP | Ticker | Issuer | Value | % port. | Shares | Class | Voting |
|---|---|---|---|---|---|---|---|
| 184496107 | CLH | CLEAN HARBORS INC | $261.9M | 5.47% | 1,137,890 | Common | SHARED |
| 05605H100 | BWXT | BWX TECHNOLOGIES INC | $208.9M | 4.37% | 1,875,217 | Common | SHARED |
| 29362U104 | ENTG | ENTEGRIS INC | $200.9M | 4.20% | 2,027,672 | Common | SHARED |
| 40637H109 | HALO | HALOZYME THERAPEUTICS INC | $199.3M | 4.17% | 4,168,453 | Common | SHARED |
| 457187102 | INGR | INGREDION INC | $164.6M | 3.44% | 1,196,395 | Common | SHARED |
| 902681105 | UGI | UGI CORP | $144.7M | 3.02% | 5,126,709 | Common | SHARED |
| 032095101 | APH | AMPHENOL CORP CL A | $141.1M | 2.95% | 2,032,085 | Common | SHARED |
| 124765108 | CAE | CAE INC | $138.9M | 2.90% | 5,474,708 | Common | SHARED |
| 48242W106 | KBR | KBR INC | $131.1M | 2.74% | 2,262,551 | Common | SHARED |
| 78467J100 | SSNC | SS&C TECHNOLOGIES HOLDINGS IN | $129.8M | 2.71% | 1,713,013 | Common | SHARED |
| 94106B101 | WCN | WASTE CONNECTIONS INC | $129.4M | 2.70% | 754,062 | Common | SHARED |
| 031100100 | AME | AMETEK INC | $118.6M | 2.48% | 657,906 | Common | SHARED |
| 19247G107 | COHR | COHERENT CORP | $101.8M | 2.13% | 1,074,937 | Common | SHARED |
| 980745103 | WWD | WOODWARD INC | $100.8M | 2.11% | 605,627 | Common | SHARED |
| 45167R104 | IEX | IDEX CORP | $100.5M | 2.10% | 480,193 | Common | SHARED |
| 127055101 | CBT | CABOT CORP | $98.2M | 2.05% | 1,075,573 | Common | SHARED |
| 75524B104 | RBC | RBC BEARINGS INC | $96.4M | 2.02% | 322,415 | Common | SHARED |
| 127190304 | CACI | CACI INTERNATIONAL INC CL A | $94.9M | 1.98% | 234,875 | Common | SHARED |
| 743606105 | PB | PROSPERITY BANCSHARES INC | $92.0M | 1.92% | 1,220,977 | Common | SHARED |
| 422806208 | HEI/A | HEICO CORP CL A | $85.2M | 1.78% | 457,981 | Common | SHARED |
| 806407102 | HSIC | HENRY SCHEIN INC | $82.7M | 1.73% | 1,194,802 | Common | SHARED |
| 09073M104 | TECH | BIO TECHNE CORP | $81.2M | 1.70% | 1,127,380 | Common | SHARED |
| 217204106 | CPRT | COPART INC | $79.9M | 1.67% | 1,392,234 | Common | SHARED |
| 384109104 | GGG | GRACO INC | $75.6M | 1.58% | 896,343 | Common | SHARED |
| 00187Y100 | APG | API GROUP CORP | $70.3M | 1.47% | 1,954,560 | Common | SHARED |
| 302491303 | FMC | FMC CORP | $63.4M | 1.33% | 1,304,856 | Common | SHARED |
| 11120U105 | BRX | BRIXMOR PROPERTY GROUP INC | $62.0M | 1.30% | 2,227,303 | Common | SHARED |
| 90984P303 | UCB | UNITED COMMUNITY BANKS INC OF | $61.7M | 1.29% | 1,908,470 | Common | SHARED |
| 032654105 | ADI | ANALOG DEVICES INC | $58.1M | 1.21% | 273,296 | Common | SHARED |
| 115236101 | BRO | BROWN & BROWN INC | $57.4M | 1.20% | 562,728 | Common | SHARED |
| 37637Q105 | GBCI | GLACIER BANCORP INC | $56.4M | 1.18% | 1,123,980 | Common | SHARED |
| 739276103 | POWI | POWER INTEGRATIONS INC | $54.5M | 1.14% | 882,518 | Common | SHARED |
| 808513105 | SCHW | CHARLES SCHWAB CORP | $54.0M | 1.13% | 730,267 | Common | SHARED |
| 57636Q104 | MA | MASTERCARD INC CL A | $53.7M | 1.12% | 101,951 | Common | SHARED |
| 92826C839 | V | VISA INC CL A | $51.5M | 1.08% | 162,809 | Common | SHARED |
| 446150104 | HBAN | HUNTINGTON BANCSHARES INC | $50.4M | 1.05% | 3,097,034 | Common | SHARED |
| 007973100 | AEIS | ADVANCED ENERGY INDUSTRIES | $50.4M | 1.05% | 435,751 | Common | SHARED |
| 589378108 | MRCY | MERCURY SYSTEMS INC | $48.9M | 1.02% | 1,165,119 | Common | SHARED |
| 603158106 | MTX | MINERALS TECHNOLOGIES INC | $48.0M | 1.00% | 630,381 | Common | SHARED |
| 81725T100 | SXT | SENSIENT TECHNOLOGIES CORP | $47.5M | 0.99% | 667,175 | Common | SHARED |
| 00847J105 | AGYS | AGILYSYS INC | $46.6M | 0.97% | 354,125 | Common | SHARED |
| 45866F104 | ICE | INTERCONTINENTAL EXCHANGE INC | $45.7M | 0.96% | 306,710 | Common | SHARED |
| 580589109 | MGRC | MCGRATH RENTCORP | $44.8M | 0.94% | 400,250 | Common | SHARED |
| 749607107 | RLI | RLI CORP | $42.9M | 0.90% | 260,405 | Common | SHARED |
| 92511U102 | VRRM | VERRA MOBILITY CORP CL A | $42.6M | 0.89% | 1,760,506 | Common | SHARED |
| 829073105 | SSD | SIMPSON MANUFACTURING | $41.4M | 0.87% | 249,919 | Common | SHARED |
| 501889208 | LKQ | LKQ CORP | $41.3M | 0.86% | 1,123,558 | Common | SHARED |
| 25659T107 | DLB | DOLBY LABORATORIES INC CL A | $36.3M | 0.76% | 465,147 | Common | SHARED |
| 109696104 | BCO | BRINKS CO | $35.1M | 0.73% | 378,712 | Common | SHARED |
| 159864107 | CRL | CHARLES RIVER LABORATORIES | $32.8M | 0.69% | 177,927 | Common | SHARED |
| 302941109 | FCN | FTI CONSULTING INC | $32.6M | 0.68% | 170,439 | Common | SHARED |
| 46266C105 | IQV | IQVIA HOLDINGS INC | $30.8M | 0.64% | 156,879 | Common | SHARED |
| 637417106 | NNN | NNN REIT INC | $30.8M | 0.64% | 754,169 | Common | SHARED |
| G8473T100 | STE | STERIS PLC | $30.5M | 0.64% | 148,384 | Common | SHARED |
| 59522J103 | MAA | MID-AMERICA APARTMENT COMMUNIT | $30.1M | 0.63% | 194,847 | Common | SHARED |
| 96208T104 | WEX | WEX INC. | $26.6M | 0.56% | 151,625 | Common | SHARED |
| 258278100 | DORM | DORMAN PRODS INC | $24.4M | 0.51% | 188,458 | Common | SHARED |
| 760125104 | RTO | RENTOKIL INITIAL PLC SPONSORED | $24.3M | 0.51% | 959,581 | Common | SHARED |
| 883556102 | TMO | THERMO FISHER SCIENTIFIC INC | $24.0M | 0.50% | 46,218 | Common | SHARED |
| 92047W101 | VVV | VALVOLINE INC | $23.5M | 0.49% | 649,544 | Common | SHARED |
| 31847R102 | FAF | FIRST AMERICAN FINANCIAL CORP | $22.1M | 0.46% | 353,543 | Common | SHARED |
| 49338L103 | KEYS | KEYSIGHT TECHNOLOGIES INC | $21.9M | 0.46% | 136,395 | Common | SHARED |
| 192422103 | CGNX | COGNEX CORP | $21.3M | 0.44% | 593,470 | Common | SHARED |
| 693282105 | PDFS | PDF SOLUTIONS INC | $21.1M | 0.44% | 779,054 | Common | SHARED |
| 570535104 | MKL | MARKEL GROUP INC | $18.8M | 0.39% | 10,873 | Common | SHARED |
| 428291108 | HXL | HEXCEL CORP | $15.6M | 0.33% | 248,559 | Common | SHARED |
| 69478X105 | LF2 | PACIFIC PREMIER BANCORP | $13.6M | 0.28% | 546,647 | Common | SHARED |
| 224441105 | CXT | CRANE NXT CO | $12.7M | 0.27% | 218,239 | Common | SHARED |
| 05368M106 | PPHMEUR | AVID BIOSERVICES INC | $3.8M | 0.08% | 311,008 | Common | SHARED |
Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.