13FBOX
Aristotle Capital Boston, LLC · 13F Holdings
Options Calculator Rankings

Aristotle Capital Boston, LLC

No.2150 Data as of 2026Q2
Latest AUM (Q2 2026)
$1.49B
QoQ Change Q1 2026
-$119.7M-7.4%
Holdings
119
New Buys
2
Adds
6
Reduces
111
Exits
5
Unchanged
0
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
MMACOM TECH SOLUTIONS HLDGS IMTSI
2.62%2.85%$39.1M102,830$45.8M206,116-103,286-50.11%Reduce
HA SUSTAINABLE INFRA REIHASI
2.22%2.34%$33.1M847,819$37.7M1.0M-178,426-17.39%Reduce
LITTELFUSE INCLFUS
2.2%1.83%$32.7M71,912$29.5M86,993-15,081-17.34%Reduce
AERCAP HOLDINGS NV SHSAER
2.02%2.14%$30.1M206,417$34.5M251,561-45,144-17.95%Reduce
HHEALTHEQUITY INCHQY
2.02%2.06%$30.1M332,884$33.2M397,229-64,345-16.20%Reduce
MMERCURY SYS INCMRCY
2%1.21%$29.9M244,228$19.5M266,417-22,189-8.33%Reduce
ACI WORLDWIDE INCACIW
1.86%1.68%$27.8M551,926$27.1M660,819-108,893-16.48%Reduce
UMB FINL CORPUMBF
1.74%$25.9M181,329$00+181,329New Buy
ITRON INCITRI
1.56%1.63%$23.2M268,429$26.3M292,844-24,415-8.34%Reduce
NOVANTA INCNOVT
1.51%1.22%$22.6M139,009$19.6M165,939-26,930-16.23%Reduce
BBENCHMARK ELECTRS INCBHE
1.48%0.92%$22.1M224,142$14.9M265,417-41,275-15.55%Reduce
MMERIT MED SYS INCMMSI
1.47%1.62%$21.9M316,536$26.1M377,580-61,044-16.17%Reduce
PPURSUIT ATTRACTIONS AND HOSPPRSU
1.46%1.04%$21.8M389,455$16.7M457,170-67,715-14.81%Reduce
HHAEMONETICS CORP MASSHAE
1.46%1.21%$21.7M289,624$19.5M346,386-56,762-16.39%Reduce
National Bank Holdings Corp CLASS A COMMONNBHC
1.45%1.41%$21.6M485,740$22.8M581,191-95,451-16.42%Reduce
SSCOTTS MIRACLE-GRO COSMG
1.43%1.42%$21.3M312,242$22.8M374,428-62,186-16.61%Reduce
SILGAN HLDGS INCSLGN
1.41%1.3%$21.0M451,934$20.9M536,977-85,043-15.84%Reduce
HEXCEL CORP NEWHXL
1.41%1.26%$20.9M209,350$20.4M251,159-41,809-16.65%Reduce
CCHEMED CORP NEWCHE
1.38%1.24%$20.5M44,114$20.0M52,811-8,697-16.47%Reduce
HHURON CONSULTING GROUP INCHURN
1.32%1.98%$19.6M217,531$31.9M249,912-32,381-12.96%Reduce
ATLANTIC UN BANKSHARES CORPAUB
1.29%1.2%$19.2M454,584$19.4M541,900-87,316-16.11%Reduce
CUSTOMERS BANCORP INCCUBI
1.29%1.23%$19.2M242,607$19.7M284,407-41,800-14.70%Reduce
ALAMOS GOLD INC NEW FCLASS AAGI
1.28%2.1%$19.1M628,545$33.9M759,020-130,475-17.19%Reduce
BELDEN INCBDC
1.28%1.37%$19.0M158,757$22.0M191,038-32,281-16.90%Reduce
AADVANCED ENERGY INDS INCAEIS
1.27%3.04%$19.0M50,851$48.9M151,391-100,540-66.41%Reduce
JAMES HARDIE INDS PLC ORD SHSJHX
1.25%1%$18.6M709,085$16.1M847,492-138,407-16.33%Reduce
VOYA FINANCIAL INCVOYA
1.24%1.04%$18.5M204,227$16.7M244,219-39,992-16.38%Reduce
PERELLA WEINBERG PARTNERSPWP
1.23%1.39%$18.4M1.2M$22.4M1.2M-81,238-6.59%Reduce
STAG INDUSTRIAL INCSTAG
1.23%1.29%$18.4M482,616$20.8M577,706-95,090-16.46%Reduce
KNIGHT-SWIFT TRANSN HLDGS INC CL AKNX
1.23%1.02%$18.3M235,588$16.5M285,525-49,937-17.49%Reduce
CCHARLES RIV LABS INTL INCCRL
1.23%1.04%$18.3M80,574$16.8M97,434-16,860-17.30%Reduce
VVALVOLINE INC COMVVV
1.21%1.15%$18.1M457,955$18.5M548,983-91,028-16.58%Reduce
TKO GROUP HLDGS INC CLASS ATKO
1.21%1.35%$18.0M89,647$21.7M107,470-17,823-16.58%Reduce
LIQUIDITY SVCS INCLQDT
1.21%1.02%$18.0M459,994$16.5M539,539-79,545-14.74%Reduce
CASELLA WASTE SYS INCCWST
1.19%0.97%$17.8M183,143$15.5M195,954-12,811-6.54%Reduce
GGUARDIAN PHARMACY SVCS INCGRDN
1.19%1.16%$17.7M422,427$18.7M495,856-73,429-14.81%Reduce
WESBANCO INCWSBC
1.14%0.61%$17.0M435,329$9.9M285,746+149,583+52.35%Add
AALBANY INTL CORPAIN
1.1%0.86%$16.4M220,403$13.8M264,458-44,055-16.66%Reduce
BANKUNITED INCBKU
1.09%1.14%$16.2M334,868$18.4M407,414-72,546-17.81%Reduce
BBOX INCBOX
1.08%1.02%$16.1M606,056$16.4M695,549-89,493-12.87%Reduce
TTHE BALDWIN INSURANCE GRP INBWIN
1.01%0.93%$15.1M568,427$15.0M682,060-113,633-16.66%Reduce
EURONET WORLDWIDE INCEEFT
1.01%1.02%$15.0M204,955$16.4M247,230-42,275-17.10%Reduce
APTARGROUP INCATR
0.98%1.02%$14.6M116,953$16.5M130,508-13,555-10.39%Reduce
INTERPARFUMS INCIPAR
0.94%0.85%$14.0M125,110$13.7M150,292-25,182-16.76%Reduce
KKB HOMEKBH
0.93%0.85%$13.9M221,351$13.8M265,070-43,719-16.49%Reduce
DDYCOM INDS INCDY
0.93%0.7%$13.8M27,361$11.3M33,009-5,648-17.11%Reduce
HHILTON GRAND VACATIONS INCHGV
0.91%0.72%$13.6M258,847$11.5M294,328-35,481-12.05%Reduce
COLUMBIA BKG SYS INCCOLB
0.9%0.86%$13.5M420,721$13.8M504,481-83,760-16.60%Reduce
FIRST INTST BANCSYSTEM INCFIBK
0.9%0.87%$13.4M348,476$14.0M418,256-69,780-16.68%Reduce
COHEN & STEERS INCCNS
0.88%0.74%$13.2M173,262$12.0M191,162-17,900-9.36%Reduce

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow