COHERENT CORP

Ticker: COHR CUSIP: 19247G107 Class: COM

Note: Option positions (PUT/CALL) are excluded.

New Positions (222)

Increased Positions (224)

Hel Ved Capital Management Ltd
Value ($000) $18,477 (+3549.6%) Shares 100,110 (+2030.0%)
Science & Technology Partners, L.P.
Value ($000) $23,177 (+198.8%) Shares 125,575 (+74.4%)
Shannon River Fund Management LLC
Value ($000) $30,993 (+222.3%) Shares 167,918 (+88.1%)
WT Asset Management Ltd
Value ($000) $90,876 (+350.2%) Shares 492,366 (+162.7%)
Whale Rock Capital Management LLC
Value ($000) $202,059 (+308.3%) Shares 1,094,757 (+138.3%)
Value Aligned Research Advisors, LLC
Value ($000) $246,441 (+236.1%) Shares 1,335,217 (+96.2%)
Atreides Management, LP
Value ($000) $227,989 (+131.6%) Shares 1,235,246 (+35.2%)
KEYSTONE INVESTORS PTE LTD
Value ($000) $38,151 (+92.9%) Shares 206,701 (+12.6%)
Situational Awareness LP
Value ($000) $88,649 (+433.0%) Shares 480,300 (+211.1%)
Polar Capital Holdings Plc
Value ($000) $314,860 (+504.1%) Shares 1,705,912 (+252.6%)
Danica Pension, Livsforsikringsaktieselskab
Value ($000) $105,205 (+150.4%) Shares 570,000 (+46.2%)
Freemont Management S.A.
Value ($000) $5,814 (+409.2%) Shares 31,500 (+197.2%)
JACKSON SQUARE CAPITAL, LLC
Value ($000) $13,511 (+75.9%) Shares 73,200 (+2.7%)
Polymer Capital Management (HK) LTD
Value ($000) $11,978 (+100.8%) Shares 64,898 (+17.2%)
BARROW HANLEY MEWHINNEY & STRAUSS LLC
Value ($000) $258,194 (+160.8%) Shares 1,398,895 (+52.2%)
Catalyst Funds Management Pty Ltd
Value ($000) $3,156 (+405.1%) Shares 17,098 (+194.8%)
Wakefield Asset Management LLLP
Value ($000) $4,181 (+98.2%) Shares 22,652 (+15.7%)
Voya Investment Management LLC
Value ($000) $290,108 (+2095.8%) Shares 1,571,803 (+1181.5%)
OAK RIDGE INVESTMENTS LLC
Value ($000) $7,434 (+334.0%) Shares 40,275 (+153.3%)
Brevan Howard Capital Management LP
Value ($000) $34,017 (+671.2%) Shares 184,303 (+350.1%)

Decreased Positions (268)

Broad Peak Investment Advisers Pte Ltd
Value ($000) $61,328 (+10.1%) Shares 332,276 (-35.7%)
FengHe Fund Management Pte. Ltd.
Value ($000) $5,316 (-87.5%) Shares 28,800 (-92.7%)
BWCP, LP
Value ($000) $17,544 (-47.5%) Shares 95,053 (-69.4%)
Rodgers Brothers Inc.
Value ($000) $71,010 (+50.0%) Shares 384,732 (-12.5%)
SORA INVESTORS LLC
Value ($000) $17,642 (-40.8%) Shares 95,582 (-65.4%)
Kopion Asset Management, LLC
Value ($000) $4,176 (-26.7%) Shares 22,628 (-57.2%)
Monolith Management Ltd
Value ($000) $1,146 (-78.5%) Shares 6,210 (-87.4%)
Minneapolis Portfolio Management Group, LLC
Value ($000) $48,697 (+29.0%) Shares 263,840 (-24.7%)
Sachem Head Capital Management LP
Value ($000) $297,158 (+35.6%) Shares 1,610,000 (-20.9%)
Sapience Investments, LLC
Value ($000) $595 (-21.7%) Shares 3,223 (-54.3%)
SNYDER CAPITAL MANAGEMENT L P
Value ($000) $182,412 (+34.8%) Shares 988,310 (-21.3%)
VAN DEN BERG MANAGEMENT I, INC
Value ($000) $22,118 (+48.2%) Shares 119,837 (-13.5%)
Oak Grove Capital LLC
Value ($000) $13,380 (-21.5%) Shares 72,492 (-54.2%)
Arnhold LLC
Value ($000) $50,116 (+40.0%) Shares 271,531 (-18.3%)
North Growth Management Ltd.
Value ($000) $27 (+24.8%) Shares 145,000 (-27.5%)
NORRIS PERNE & FRENCH LLP/MI
Value ($000) $57,295 (+62.5%) Shares 310,425 (-5.2%)
BARD ASSOCIATES INC
Value ($000) $14,304 (+62.3%) Shares 77,499 (-5.3%)
VAUGHAN NELSON INVESTMENT MANAGEMENT, L.P.
Value ($000) $111,846 (-31.8%) Shares 605,981 (-60.2%)
FRONTIER CAPITAL MANAGEMENT CO LLC
Value ($000) $72,156 (-51.1%) Shares 390,939 (-71.5%)
CENTRAL SECURITIES CORP
Value ($000) $27,686 (+28.5%) Shares 150,000 (-25.0%)

Exited Positions (57)