CONGRESS ASSET MANAGEMENT CO Q2 2017 Filing

Filed July 26, 2017

Portfolio Value

$5.6B

Holdings

254

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (254 positions)

StockValue
AYIAcuity Brands Inc Com
$107.6B
IPGPIPG Photonics Corp
$88.2B
MTDMettler Toledo International
$88.1B
CGNXCognex Corp
$86.3B
AAPLApple Inc
$84.5B
DORMDorman Products Inc
$83.5B
CITCintas Corp
$82.4B
LIILennox International Inc
$82.3B
COOCooper Cos Inc
$81.9B
HASHasbro Inc
$80.8B
HSICHenry Schein Inc
$80.6B
RMEResmed Inc
$79.1B
RJFRaymond James Financial Inc
$79.1B
CHDChurch & Dwight Co
$78.0B
Cambrex Corp
$77.5B
SNPSSynopsys Inc
$76.5B
JKHYJack Henry & Associates
$75.5B
TXRHTexas Roadhouse Inc
$75.1B
POOLPool Corp
$74.4B
MPWRMonolithic Power Systems Inc
$74.4B
FNFabrinet
$73.7B
EFXEquifax Inc
$73.7B
MASMasco Corp Com
$73.6B
WBC1EURWabco Hldgs Inc
$72.6B
AVYAvery Dennison Corp
$72.0B
UNHUnitedHealth Group Inc
$71.3B
GGenpact Limited
$71.2B
HDHome Depot Inc
$71.1B
IFFInternational Flavors & Fragra
$71.0B
TQJSignature Bank
$69.1B
ADBEAdobe Systems Inc
$68.9B
JBHTJB Hunt Transport Services Inc
$67.9B
CPTCamden Property Trust
$67.6B
CRICarters Inc
$67.3B
FFIVF5 Networks Inc
$67.1B
SNASnap On Inc
$66.3B
ITWIllinois Tool Works Inc
$65.7B
MIDDMiddleby Corp
$65.6B
SNIScripps Networks Inter-Cl A
$65.3B
FDSFactset Reasearch Systems Inc
$65.3B
ROKRockwell Automation Inc
$64.6B
VVisa Inc
$64.1B
PYPLPaypal Holdings Inc
$63.0B
EAElectronic Arts Inc
$61.4B
METAFacebook Inc
$61.3B
CMECME Group Inc
$59.2B
ADIAnalog Devices Inc
$58.9B
ICEIntercontinental Exchange Inc
$57.1B
CNRCanadian National Railway Co
$56.8B
CLBCore Laboratories NV
$56.6B
AMZNAmazon.Com Inc
$55.6B
MANHManhattan Assocs Inc
$54.8B
SYKStryker Corporation
$54.4B
COSTCostco Wholesale Corp
$53.4B
CLColgate-Palmolive Co
$52.2B
PEPPepsico Inc
$50.7B
MRKMerck and Company Inc
$50.4B
ACNAccenture PLC Ireland Cl A
$50.1B
TMOThermo Fisher Scientific Inc.
$49.3B
TJXTJX Companies Inc
$48.9B
MCDMcDonalds Corp
$48.8B
CELGCelgene Corp
$48.6B
GOOGLAlphabet Inc Cl A
$48.2B
CLXClorox Company
$48.0B
ECLEcolab Inc
$47.7B
PVHPVH Corp
$47.7B
CHKPCheck Point Software Tech
$47.1B
ELEstee Lauder Companies Cl A
$46.5B
PGRProgressive Corp Ohio Com
$44.6B
8CWCrown Castle International Cor
$44.4B
PPGPPG Industries Inc
$44.0B
WOOFoot Locker Inc
$43.9B
NOCNorthrop Grumman Corp
$43.3B
ROPRoper Industries Inc
$43.1B
Suntrust Banks
$40.7B
ORLYOReilly Automotive Inc
$36.7B
CVXChevron Corp
$36.3B
ZTSZoetis Inc
$15.5B
NWLNewell Rubbermaid Inc.
$12.5B
Du Pont E I De Nemours Co
$12.0B
NVDANVIDIA Corp
$11.8B
SBUXStarbucks Corp
$11.7B
JNJJohnson & Johnson Co
$11.1B
MSFTMicrosoft Corp
$10.7B
JPMJ P Morgan Chase & Co
$10.0B
TFXTeleflex Inc
$9.8B
AMTAmerican Tower Corp
$9.7B
ABMDEURAbiomed Inc
$9.2B
VFCV F Corporation
$9.1B
CYBRCyberark Software Ltd
$8.7B
GOOGAlphabet Inc Cl C
$8.7B
GEGeneral Electric COM
$8.6B
AVGOBroadcom LTD
$8.6B
FRCBFirst Rep Bk San Francisco Cal
$8.6B
VSSVanguard FTSE All-World ex-US
$8.5B
AFWAlign Technology Inc
$8.4B
DRIDarden Restaurants Inc
$8.3B
CVSCVS Health Corporation
$8.1B
E-Tracs Alerian MLP ETN
$8.0B
EQIXEquinix Inc
$8.0B
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