SNYDER CAPITAL MANAGEMENT L P

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13F Reported Value

$5.8B

Holdings

69

Latest Filing

2026-06-30

Filing Quarter

Q2 2026

Portfolio Overview

SNYDER CAPITAL MANAGEMENT L P disclosed 69 positions worth $5.8B in its Form 13F-HR for Q2 2026, led by $ENTG (ENTEGRIS INC) at 5.5% of the equity portfolio, followed by $CLH and $BWXT. During the quarter the fund opened 1 new position and exited 2 — including a new stake in $PRSU and a full exit from $VRRM. The portfolio is most concentrated in Technology (30.3% of disclosed assets). All figures are sourced directly from SNYDER CAPITAL MANAGEMENT L P’s Form 13F-HR filing with the SEC under CIK 1050477.

Sector Allocation

TechnologyIndustrialsFinancialsHealthcareUtilitiesMaterials

AUM History

Top Equity Holdings by Value

Quarterly Activity — Q2 2026

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Top Holdings

AI Quality Scored

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32-signal composite ranking on each of SNYDER CAPITAL MANAGEMENT L P's 69 positions.

Showing top 10 of 69 holdings.

Sector Allocation

Technology

$1.8B

Industrials

$1.1B

Financials

$667.2M

Healthcare

$621.4M

Utilities

$604.8M

Materials

$564.7M

Real Estate

$147.6M

Consumer Staples

$120.6M

Full Holdings — SNYDER CAPITAL MANAGEMENT L P (Q2 2026)

All 69 disclosed positions from the latest Form 13F-HR, with quarter-over-quarter share changes and 13F Pro quality scores. Sourced from SEC EDGAR.

TickerCompanyValue
ENTG$ENTGENTEGRIS INC$317.3M
CLH$CLHCLEAN HARBORS INC$275.5M
BWXT$BWXTBWX Technologies, Inc.$240.9M
TECH$TECHBIO-TECHNE Corp$223.5M
HALO$HALOHALOZYME THERAPEUTICS, INC.$187.5M
UGI$UGIUGI CORP /PA/$185.3M
AME$AMEAMETEK INC/$183.2M
RBC$RBCRBC Bearings INC$176.3M
WWD$WWDWoodward, Inc.$175.4M
SSNC$SSNCSS&C Technologies Holdings Inc$149.9M
POWI$POWIPOWER INTEGRATIONS INC$148.0M
WCN$WCNWaste Connections, Inc.$144.0M
CAE$CAECAE INC$123.5M
INGR$INGRIngredion Inc$120.6M
APH$APHAMPHENOL CORP /DE/$115.0M
HSIC$HSICHENRY SCHEIN INC$107.3M
COHR$COHRCOHERENT CORP.$107.0M
IEX$IEXIDEX CORP /DE/$100.1M
AEIS$AEISADVANCED ENERGY INDUSTRIES INC$95.8M
ADI$ADIANALOG DEVICES INC$94.5M
SXT$SXTSENSIENT TECHNOLOGIES CORP$92.1M
APG$APGAPi Group Corp$90.1M
BRKR$BRKRBRUKER CORP$86.0M
CBT$CBTCABOT CORP$81.8M
VVV$VVVVALVOLINE INC$79.8M
KBR$KBRKBR, INC.$78.1M
SCHW$SCHWSCHWAB CHARLES CORP$77.4M
KEYS$KEYSKeysight Technologies, Inc.$76.9M
CACI$CACICACI INTERNATIONAL INC /DE/$73.4M
PDFS$PDFSPDF SOLUTIONS INC$73.2M
DLB$DLBDolby Laboratories, Inc.$69.7M
MRCY$MRCYMERCURY SYSTEMS INC$69.3M
PB$PBPROSPERITY BANCSHARES INC$69.1M
ICE$ICEIntercontinental Exchange, Inc.$67.8M
WEX$WEXWEX Inc.$65.8M
CRL$CRLCHARLES RIVER LABORATORIES INTERNATIONAL, INC.$63.9M
SSD$SSDSimpson Manufacturing Co., Inc.$63.1M
V$VVISA INC.$62.8M
MA$MAMastercard Inc$60.0M
UCB$UCBUNITED COMMUNITY BANKS INC$57.6M
MGRC$MGRCMCGRATH RENTCORP$57.5M
GGG$GGGGRACO INC$56.4M
HBAN$HBANHUNTINGTON BANCSHARES INC /MD/$56.3M
RTO$RTORENTOKIL INITIAL PLC /FI$52.1M
ALLE$ALLEAllegion plc$52.0M
TMO$TMOTHERMO FISHER SCIENTIFIC INC.$51.4M
BRX$BRXBrixmor Property Group Inc.$49.2M
CCI$CCICROWN CASTLE INC.$48.0M
GBCI$GBCIGLACIER BANCORP, INC.$45.0M
CPRT$CPRTCOPART INC$43.5M
STE$STESTERIS plc$39.1M
HEI.A$HEI.AHEICO CORP$38.8M
CXT$CXTCrane NXT, Co.$38.2M
HXL$HXLHEXCEL CORP /DE/$37.4M
MTX$MTXMINERALS TECHNOLOGIES INC$36.1M
BRO$BROBROWN & BROWN, INC.$34.1M
BCO$BCOBRINKS CO$32.7M
MAA$MAAMID AMERICA APARTMENT COMMUNITIES INC.$30.3M
INTU$INTUINTUIT INC.$28.9M
LKQ$LKQLKQ CORP$28.0M
CCC$CCCCCC Intelligent Solutions Holdings Inc.$27.0M
PRSU$PRSUPursuit Attractions & Hospitality, Inc.$25.1M
COLB$COLBCOLUMBIA BANKING SYSTEM, INC.$24.6M
AGYS$AGYSAGILYSYS INC$24.1M
FAF$FAFFirst American Financial Corp$22.5M
AZTA$AZTAAzenta, Inc.$22.3M
RLI$RLIRLI CORP$20.4M
NNN$NNNNNN REIT, INC.$20.1M
FOUR$FOURShift4 Payments, Inc.$18.7M

New Positions (1)

PRSU$PRSU Pursuit Attractions & Hospitality, Inc.$25.1M

Exited Positions (2)

VRRM$VRRM VERRA MOBILITY Corp
DORM$DORM Dorman Products, Inc.

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