FRED ALGER MANAGEMENT, LLC Q3 2025 Filing

Filed November 14, 2025

Portfolio Value

$25.7B

Holdings

446

Report Date

Q3 2025

Filing Type

13F-HR

All Holdings (446 positions)

#StockSharesValue% PortfolioType
101
FAFirst Advantage Corp.
1,746,723$26.9B104.63%
102
VCYTVeracyte, Inc.
767,479$26.3B102.55%
103
CRWVCoreWeave, Inc. Class A
188,974$25.9B100.65%
104
GKOSGlaukos Corp
316,804$25.8B100.55%
105
SPXCSPX Technologies, Inc.
138,195$25.8B100.46%
106
ABBVAbbVie, Inc.
110,561$25.6B99.63%
107
PLMRPalomar Holdings, Inc.
217,798$25.4B98.97%
108
DALDelta Air Lines, Inc.
439,286$24.9B97.03%
109
PIImpinj, Inc.
135,782$24.5B95.52%
110
FBRXForte Biosciences Inc.
1,636,030$24.5B95.51%
111
T7DTransDigm Group Incorporated
17,987$23.7B92.27%
112
MODModine Manufacturing Company
165,006$23.5B91.30%
113
KTOSKratos Defense & Security Solutions, Inc.
255,217$23.3B90.76%
114
STVNStevanato Group SpA
902,314$23.2B90.43%
115
TRNSTranscat, Inc.
315,207$23.1B89.80%
116
OSCROscar Health, Inc. Class A
1,212,383$23.0B89.32%
117
CDNSCadence Design Systems, Inc.
61,195$21.5B83.66%
118
CRDOCredo Technology Group Holding Ltd.
143,152$20.8B81.13%
119
TTWOTake-Two Interactive Software, Inc.
80,500$20.8B80.95%
120
AXONAxon Enterprise Inc
28,679$20.6B80.10%
121
ABTAbbott Laboratories
151,446$20.3B78.95%
122
THCTenet Healthcare Corporation
97,606$19.8B77.13%
123
ITRIItron, Inc.
158,750$19.8B76.96%
124
IONQIonQ, Inc.
315,959$19.4B75.63%
125
BIDUNBaidu, Inc. Sponsored ADR Class A
146,886$19.4B75.33%
126
FSLRFirst Solar, Inc.
85,518$18.9B73.40%
127
FSSFederal Signal Corporation
157,210$18.7B72.81%
128
JPXAeroVironment, Inc.
58,773$18.5B72.03%
129
SPSCSPS Commerce, Inc.
175,057$18.2B70.95%
130
PIPRPiper Sandler Companies
52,465$18.2B70.85%
131
1GSNNovanta Inc
178,266$17.9B69.49%
132
VERXVertex, Inc. Class A
702,970$17.4B67.83%
133
IDXXIDEXX Laboratories, Inc.
27,075$17.3B67.32%
134
APHAmphenol Corporation Class A
136,569$16.9B65.87%
135
TMDXTransMedics Group, Inc.
150,741$16.9B65.83%
136
CYRXCryoPort, Inc.
1,780,495$16.9B65.69%
137
HDHome Depot, Inc.
41,323$16.7B65.17%
138
ELFe.l.f. Beauty, Inc.
125,005$16.6B64.45%
139
NTNXNutanix, Inc. Class A
219,443$16.3B63.54%
140
OWLBlue Owl Capital, Inc. Class A
955,118$16.2B62.93%
141
GEVGE Vernova Inc.
25,983$16.0B62.18%
142
FNFabrinet
42,625$15.5B60.49%
143
CDRECadre Holdings, Inc.
424,980$15.5B60.39%
144
GLBEGlobal-e Online Ltd.
427,975$15.3B59.57%
145
CSGPCoStar Group, Inc.
177,032$14.9B58.13%
146
CELHCelsius Holdings, Inc.
258,126$14.8B57.76%
147
NUNu Holdings Ltd. Class A
911,511$14.6B56.80%
148
ENVXEnovix Corporation
1,442,986$14.4B55.99%
149
RXORXO, Inc.
930,143$14.3B55.68%
150
KRUSKura Sushi USA, Inc. Class A
237,268$14.1B54.86%
151
ATFVAlger 35 ETF
395,025$14.0B54.61%
152
CRWDCrowdStrike Holdings, Inc. Class A
28,595$14.0B54.58%
153
MPWRMonolithic Power Systems, Inc.
15,174$14.0B54.46%
154
COHRCoherent Corp.
128,456$13.8B53.86%
155
ORLYO'Reilly Automotive, Inc.
128,249$13.8B53.81%
156
RBRKRubrik, Inc. Class A
167,630$13.8B53.66%
157
CBRECBRE Group, Inc. Class A
86,807$13.7B53.23%
158
WELLWelltower Inc.
76,136$13.6B52.79%
159
IM8NInsmed Incorporated
94,033$13.5B52.70%
160
CDNACareDx, Inc.
929,023$13.5B52.57%
161
RAREUltragenyx Pharmaceutical, Inc.
448,717$13.5B52.53%
162
BLKBlackRock, Inc.
11,332$13.2B51.42%
163
XOMExxon Mobil Corporation
116,549$13.1B51.14%
164
BLDRBuilders FirstSource, Inc.
106,484$12.9B50.25%
165
CLVTrip.com Group Ltd. Sponsored ADR
166,262$12.5B48.66%
166
HWMHowmet Aerospace Inc.
62,137$12.2B47.46%
167
JNJJohnson & Johnson
65,004$12.1B46.91%
168
DKNGDraftKings, Inc. Class A
317,948$11.9B46.28%
169
BEBloom Energy Corporation Class A
139,531$11.8B45.93%
170
PVLAPalvella Therapeutics, Inc.
186,751$11.7B45.57%
171
GDSGDS Holdings Ltd. Sponsored ADR Class A
302,453$11.7B45.56%
172
KRMNKarman Holdings Inc.
154,588$11.2B43.44%
173
QCOMQUALCOMM Incorporated
66,536$11.1B43.08%
174
IBNICICI Bank Limited Sponsored ADR
363,728$11.0B42.79%
175
BXBlackstone Inc.
64,087$10.9B42.61%
176
ARWRArrowhead Pharmaceuticals, Inc.
306,833$10.6B41.19%
177
JOBYJoby Aviation, Inc.
644,150$10.4B40.46%
178
CVXChevron Corporation
66,799$10.4B40.37%
179
MCKMcKesson Corporation
13,280$10.3B39.96%
180
BBIOBridgeBio Pharma, Inc.
197,365$10.3B39.90%
181
WWayfair, Inc. Class A
113,092$10.1B39.32%
182
HTFLHeartFlow, Inc.
296,999$10.0B38.91%
183
CWANClearwater Analytics Holdings, Inc. Class A
553,720$10.0B38.83%
184
HLTHilton Worldwide Holdings Inc.
38,440$10.0B38.81%
185
STXSeagate Technology Holdings PLC
41,517$9.8B38.25%
186
HONHoneywell International Inc.
45,784$9.6B37.51%
187
NEOGNeogen Corp
1,685,965$9.6B37.47%
188
IDIInterDigital, Inc.
27,443$9.5B36.87%
189
VRSKVerisk Analytics, Inc.
35,603$9.0B34.85%
190
BURLBurlington Stores, Inc.
34,829$8.9B34.50%
191
BJBJ's Wholesale Club Holdings, Inc.
93,269$8.7B33.85%
192
RHCRH public limited company
70,449$8.4B32.88%
193
WIXWix.com Ltd.
46,120$8.2B31.88%
194
MCDMcDonald's Corporation
26,057$7.9B30.82%
195
ARXAccelerant Holdings Class A
520,915$7.8B30.19%
196
CHYMChime Financial, Inc. Class A
384,188$7.7B30.16%
197
NUVLNuvalent, Inc. Class A
88,503$7.7B29.79%
198
CSCOCisco Systems, Inc.
111,656$7.6B29.73%
199
CMECME Group Inc. Class A
28,002$7.6B29.45%
200
JHXJames Hardie Industries PLC
386,579$7.4B28.90%
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