CONGRESS ASSET MANAGEMENT CO Q3 2020 Filing

Filed November 3, 2020

Portfolio Value

$9.2B

Holdings

334

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (334 positions)

StockValue
AAPLApple Inc
$200.4B
PAYCPaycom Software Inc
$185.5B
AMZNAmazon.Com Inc
$182.8B
GNRCGenerac Hldgs Inc
$174.7B
FRCBFirst Rep Bk San Francisco Cal
$164.3B
CITCintas Corp
$149.1B
POOLPool Corp
$148.8B
HZNPHorizon Therapeutics Plc
$146.0B
MSFTMicrosoft Corp
$140.6B
CIENCiena Corp Com
$139.4B
CRLCharles River Laboratories
$139.0B
MPWRMonolithic Power Systems Inc
$137.6B
ADBEAdobe Systems Inc
$132.4B
ETSYEtsy Inc
$130.9B
PYPLPayPal Holdings Inc
$130.8B
AWMSkyworks Solutions Inc
$130.7B
SNPSSynopsys Inc
$125.7B
CHDChurch & Dwight Co
$125.2B
CPRTCopart Inc.
$124.1B
MTDMettler Toledo International
$122.3B
HDHome Depot Inc
$121.7B
ZTSZoetis Inc
$117.8B
WSMWilliams-Sonoma Inc
$117.2B
DIODDiodes Inc
$116.0B
COSTCostco Wholesale Corp
$114.9B
MCXMcCormick & Co. - non voting s
$114.4B
WSTWest Pharmaceutical Services I
$113.5B
VVisa Inc
$110.7B
STESteris Plc
$110.7B
TTWOTake Two Interactive
$109.5B
LIILennox International Inc
$109.5B
RMEResmed Inc
$106.8B
IEXIDEX Corp Com
$105.9B
DGDollar General Corp
$103.8B
ZBRAZebra Technologies Corp- Cl A
$103.1B
BURLBurlington Stores Inc
$100.5B
APDAir Products & Chemicals Inc
$99.8B
TMOThermo Fisher Scientific Inc.
$99.7B
COOCooper Cos Inc
$99.6B
KEYSKeysight Technologies Inc
$98.3B
BAHBooz Allen Hamilton Hldg Corp
$94.6B
AKXANSYS Inc
$94.2B
GOOGLAlphabet Inc Cl A
$93.8B
FTNTFortinet Inc
$93.8B
IDXXIdexx Labs Corp
$93.3B
QLYSQualys Inc
$91.4B
AKAMAkamai Technologies Inc
$90.7B
ACNAccenture PLC Ireland Cl A
$88.9B
UNHUnitedHealth Group Inc
$88.3B
LULULululemon Athletica Inc
$87.7B
LWLamb Weston Holdings Inc
$87.5B
METAFacebook Inc
$87.4B
SHWSherwin Williams
$87.0B
ABTAbbott Laboratories
$86.8B
TDYTeledyne Technologies Incorpor
$86.1B
HDSUSDHD Supply Hldgs Inc
$85.0B
PGRProgressive Corp Ohio Com
$84.9B
SYKStryker Corporation
$84.7B
SPGIS&P Global
$84.6B
PGThe Procter & Gamble Company
$83.2B
SUISun Communities Inc
$83.1B
VRTXVertex Pharmaceuticals Inc
$82.0B
INTUIntuit Inc
$81.6B
RJFRaymond James Financial Inc
$81.0B
8CWCrown Castle International Cor
$79.0B
CNRCanadian National Railway Co
$77.4B
ROPRoper Industries Inc
$76.9B
CATCaterpillar Inc COM
$75.0B
NBIXNeurocrine Biosciences Inc
$73.8B
BACVerizon Communications
$72.3B
IHS Markit LTD
$66.6B
DOVDover Corp
$65.3B
NXPINXP Semiconductors
$65.0B
HIIHuntington Ingalls Industries
$60.6B
LHXL3Harris Technologies Inc
$58.7B
VAREURVarian Med Sys Inc
$57.0B
ENQEntegris Inc
$54.9B
APPSDigital Turbine Inc
$27.0B
NKENike Inc Cl B
$20.3B
MLMMartin Marietta Materials Inc
$17.6B
BRBroadridge Financial Solutions
$17.3B
TSCOTractor Supply Company
$17.2B
DISWalt Disney Co
$16.7B
SPSCSPS Commerce Inc Com
$16.6B
ADSKAutodesk Inc
$16.5B
JPMJPMorgan Chase & Co Com
$15.5B
TROWT Rowe Price Group Inc.
$15.2B
SLPSimulations Plus Inc
$14.5B
GOOGAlphabet Inc Cl C
$14.3B
MCOMoody's Corporation
$13.8B
NEENextEra Energy Inc
$13.6B
JNJJohnson & Johnson
$13.1B
AMTAmerican Tower Corp
$13.0B
CRMsalesforce.com inc
$12.4B
ADIAnalog Devices Inc
$12.1B
MAMastercard Inc. CL-A
$11.5B
AFWAlign Technology Inc
$11.3B
FCNFTI Consulting Inc
$11.2B
AMGNAmgen Inc
$11.2B
ITWIllinois Tool Works Inc
$10.7B
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