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)

#StockSharesValue% PortfolioType
101
NSCNorfolk Southn Corp
49,271$10.5B114.16%
102
FICOFair Isaac Corp
24,510$10.4B112.89%
103
VRNSVaronis Systems Inc
88,263$10.2B110.30%
104
7SUSummit Matls Inc Cl A
614,453$10.2B110.04%
105
APHAmphenol Corp
90,495$9.8B106.09%
106
ROKRockwell Automation Inc
43,989$9.7B105.11%
107
UNPUnion Pacific Corp
47,935$9.4B102.18%
108
RGENRepligen Corp
63,558$9.4B101.53%
109
TFXTeleflex Inc
27,406$9.3B101.02%
110
GPNGlobal Payments Inc.
52,365$9.3B100.68%
111
CSGPCostar Group Inc
10,828$9.2B99.48%
112
MRKMerck & Company Inc
109,816$9.1B98.63%
113
DHID R Horton Inc
120,212$9.1B98.44%
114
RPMRPM International Inc
108,529$9.0B97.35%
115
EWEdwards Lifesciences Corp
111,754$8.9B96.58%
116
CMECME Group Inc
53,141$8.9B96.27%
117
CLColgate-Palmolive Co
114,428$8.8B95.58%
118
NSRGYNestle S A Sponsored ADR
73,522$8.8B94.74%
119
TRMBTrimble Navigation Ltd
178,590$8.7B94.17%
120
EAElectronic Arts Inc
66,600$8.7B94.04%
121
HONHoneywell International Inc
52,064$8.6B92.79%
122
INTCIntel Corp
160,555$8.3B90.02%
123
VEEVVeeva Sys Inc
29,369$8.3B89.41%
124
VWOVanguard FTSE Emerging Markets
190,886$8.3B89.37%
125
CP.TOCanadian Pacific Railway Ltd
26,999$8.2B88.99%
126
CEVACeva Inc
208,043$8.2B88.69%
127
AMEAmetek Inc New
82,155$8.2B88.42%
128
TREXTrex Co Inc
113,572$8.1B88.05%
129
HEIHEICO Corporation
77,469$8.1B87.79%
130
SMPLSimply Good Foods Co Com
367,010$8.1B87.63%
131
EQIXEquinix Inc
10,576$8.0B87.04%
132
TELTE Connectivity LTD
82,178$8.0B86.97%
133
DC4Dexcom Inc.
19,228$7.9B85.82%
134
ILMNIllumina Incorporated
25,574$7.9B85.58%
135
ALXNAlexion Pharmaceuticals Inc
68,231$7.8B84.54%
136
ABBVAbbvie Inc
88,531$7.8B83.96%
137
AVGOBroadcom Inc
21,203$7.7B83.64%
138
CSCOCisco Systems Inc.
193,230$7.6B82.41%
139
T77Lendingtree Inc
24,779$7.6B82.33%
140
HELEHelen Of Troy Corp Ltd
39,290$7.6B82.32%
141
BDXBecton Dickinson & Co
32,509$7.6B81.90%
142
HUBBHubbell Inc Cl B
53,044$7.3B78.60%
143
R1 RCM Inc
420,608$7.2B78.10%
144
MEDPMedpace Holdings Inc
62,432$7.0B75.54%
145
PENPenumbra Inc
35,559$6.9B74.84%
146
URIUnited Rentals Inc
38,582$6.7B72.90%
147
CHRChurchill Downs Inc
39,898$6.5B70.77%
148
WNSNWNS (Holdings) Limited Sponsor
100,621$6.4B69.69%
149
MSAMine Safety Appliances Co.
45,946$6.2B66.75%
150
CYBRCyberark Software Ltd
59,057$6.1B66.13%
151
SAIASaia Inc
48,081$6.1B65.67%
152
VSSVanguard FTSE All-World ex-US
56,749$6.0B64.69%
153
1GSNNovanta Inc
56,455$5.9B64.39%
154
SSDSimpson Manufacturing Co Inc
59,256$5.8B62.33%
155
PFXFVanEck Vectors Preferred Secur
296,552$5.7B61.59%
156
IWPiShares Russell MidCap Growth
32,489$5.6B60.81%
157
GOGrocery Outlet Holding Corp
140,185$5.5B59.68%
158
ATVIEURActivision Blizzard Inc
67,587$5.5B59.24%
159
DRIDarden Restaurants Inc
54,019$5.4B58.92%
160
ABMDEURAbiomed Inc
19,632$5.4B58.89%
161
PWIPower Integrations Inc
96,128$5.3B57.67%
162
WMSAdvanced Drainage Systems Inc
85,082$5.3B57.53%
163
MRCYMercury Systems Inc
66,737$5.2B55.97%
164
FOXFFox Factory Holding Corp
68,767$5.1B55.34%
165
AJRDEURAerojet Rocketdyne Holdings In
125,195$5.0B54.07%
166
ESEEsco Technologies Inc
61,708$5.0B53.82%
167
MTZMastec Inc Com
117,636$5.0B53.75%
168
AAONAaon Inc
82,107$4.9B53.56%
169
NEOGNeogen Corporation
63,209$4.9B53.55%
170
INMDInMode Ltd
136,336$4.9B53.41%
171
IWFiShares Tr Russ 1000 Grw ETF
22,585$4.9B53.03%
172
BCPCBalchem Corp
49,498$4.8B52.32%
173
CSLCarlisle Companies Inc
38,904$4.8B51.55%
174
EGPEastGroup Properties Inc
36,356$4.7B50.91%
175
FLWS1-800-Flowers.com Inc Class A
188,086$4.7B50.79%
176
XOMExxon Mobil Corp
131,195$4.5B48.77%
177
CLARClarus Corp
318,001$4.5B48.61%
178
HLHecla Mng Co Com
877,865$4.5B48.29%
179
MTNVail Resorts Inc
20,449$4.4B47.37%
180
VPUVanguard Utlts ETF
33,885$4.4B47.36%
181
ASGNASGN Inc
68,378$4.3B47.06%
182
HCQAMN Healthcare Services Inc
74,344$4.3B47.06%
183
PGNYProgyny Inc
147,541$4.3B47.01%
184
8INSyneos Health Inc Cl A
79,550$4.2B45.79%
185
GLUUGlu Mobile Inc Com
549,398$4.2B45.66%
186
RDWRRadware Ltd
173,591$4.2B45.56%
187
BOOTBoot Barn Holdings Inc
148,840$4.2B45.35%
188
MHOM/I Homes Inc
89,940$4.1B44.85%
189
JXC1J2 Global Communications Inc.
59,804$4.1B44.83%
190
AZTABrooks Automation Inc
89,301$4.1B44.73%
191
CNSCohen & Steers Inc
73,766$4.1B44.52%
192
GRMNGarmin Ltd
43,098$4.1B44.26%
193
HMS Holdings Corp
167,930$4.0B43.55%
194
LCIILCI Inds Com
36,287$3.9B41.76%
195
CENTACentral Garden & Pet Co Cl A N
103,089$3.7B40.34%
196
PENNPenn Natl Gaming Inc
49,750$3.6B39.16%
197
BKNGBooking Holdings Inc
2,051$3.5B37.99%
198
DARDarling Ingredients Inc Com
95,420$3.4B37.22%
199
CUBECubesmart
105,232$3.4B36.81%
200
WERNWerner Enterprises Inc
78,470$3.3B35.68%
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