CONGRESS ASSET MANAGEMENT CO Q4 2019 Filing

Filed February 10, 2020

Portfolio Value

$8.2B

Holdings

344

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (344 positions)

StockValue
FW2NBanner Corp Com
$993K
CRSPCrispr Therapeutics Ag Namen A
$984K
ICEIntercontinental Exchange Inc
$965K
WSFSWsfs Finl Corp Com
$957K
AEBAAllete Inc
$928K
ADPAutomatic Data Processing Inc
$900K
AELUSDAmerican Equity Invt Life Hld
$893K
ECLEcolab Inc
$869K
HIWHighwoods Pptys Inc Com
$865K
WSTWest Inc Com
$803K
SPTSSPDR Portfolio Short Term Trea
$791K
MCDMcdonalds Corp
$765K
KWE1Ring Energy Inc
$742K
CWCurtiss-Wright Corp
$723K
Anworth Mortgage Asset Cp Com
$656K
CDWCDW Corporation
$652K
KMTKennametal Inc Com
$626K
CMCCommercial Metals Company
$621K
IJHiShares Core S&P Mid-Cap
$593K
MFAUSDMfa Finl Inc Com
$582K
BRK/BBerkshire Hathaway Inc
$564K
UTXZUnited Technologies Corp
$551K
DSGDescartes Systems Group Inc
$525K
PEBPebblebrook Hotel Tr Com
$519K
WF2Wintrust Finl Corp Com
$512K
SHOSunstone Hotel Invs Inc New Co
$488K
RLJRlj Lodging Tr Com
$465K
CLFCleveland Cliffs Inc Com
$451K
SOSouthern Company
$450K
HTLFEURHeartland Financial USA Inc
$446K
KOThe Coca Cola Company
$433K
BSVVanguard BD Index Fd Short Ter
$431K
TAT&T Inc
$429K
IJKiShares S&P Midcap 400/Grwth
$426K
CGNXCognex Corp
$423K
MDYSPDR S&P Midcap 400 ETF
$415K
AEOAmerican Eagle Outfitters
$407K
CTSHCognizant Technology Solutions
$393K
VBKVanguard Small Cap Growth ETF
$393K
SPPIUSDSpectrum Pharmaceuticals Inc C
$381K
APY1USDApergy Corp Com
$373K
PFEPfizer Inc
$372K
WMTWal Mart Stores Inc
$367K
MMM3M Company
$366K
CMCSAComcast Corp Cl A
$362K
SPTMSPDR Total Stock Market ETF
$340K
BMYBristol Myers Squibb Inc
$320K
4I1Philip Morris International In
$311K
ROSTRoss Stores Inc
$296K
WDFCWD-40 Co Com
$292K
IDXXIdexx Labs Corp
$292K
CLXClorox Company
$281K
MOAltria Group Inc
$281K
LMATLemaitre Vascular Inc
$279K
DHRDanaher Corporation
$274K
WFCWells Fargo & Co New
$274K
OFIXOrthofix Medical Inc
$263K
VOVanguard Mid Cap ETF
$239K
ORCLOracle Corporation
$237K
SEICSei Investments Co
$221K
VBVanguard Small-Cap Index Fund
$218K
ORLYOReilly Automotive Inc
$206K
CATCaterpillar Inc COM
$206K
CITCintas Corp
$196K
FRCBFirst Rep Bk San Francisco Cal
$170K
AAPLApple Inc
$155K
DIODDiodes Inc
$123K
LWLamb Weston Holdings Inc
$121K
GNRCGenerac Hldgs Inc
$120K
POOLPool Corp
$120K
AWMSkyworks Solutions Inc
$119K
RMEResmed Inc
$117K
BURLBurlington Stores Inc
$115K
CPRTCopart Inc.
$114K
PAYCPaycom Software Inc
$114K
MPWRMonolithic Power Systems Inc
$113K
MSFTMicrosoft Corp
$109K
ZBRAZebra Technologies Corp- Cl A
$107K
AMZNAmazon.Com Inc
$107K
KEYSKeysight Technologies Inc
$106K
MTDMettler Toledo International
$105K
CRLCharles River Laboratories
$104K
MCXMcCormick & Co. - non voting s
$104K
VVisa Inc
$104K
SNPSSynopsys Inc
$103K
GGenpact Limited
$102K
AVYAvery Dennison Corp
$102K
STESteris Plc
$100K
IEXIDEX Corp Com
$100K
COOCooper Cos Inc
$98K
TDYTeledyne Technologies Incorpor
$97K
CHDChurch & Dwight Co
$97K
ZTSZoetis Inc
$97K
LIILennox International Inc
$96K
ADBEAdobe Systems Inc
$96K
JKHYJack Henry & Associates
$95K
COSTCostco Wholesale Corp
$95K
HDHome Depot Inc
$94K
FIVEFive Below Inc
$94K
VAREURVarian Med Sys Inc
$94K
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