SILVERCREST ASSET MANAGEMENT GROUP LLC Q3 2021 Filing

Filed November 15, 2021

Portfolio Value

$14.8B

Holdings

853

Report Date

Q3 2021

Filing Type

13F-HR

All Holdings (853 positions)

StockValue
EGHT8X8 INC NEW COM
$15.6B
AXNX*AXONICS INC COM
$15.5B
PCRXPACIRA BIOSCIENCES, INC.
$15.5B
1RGREV GROUP INC COM
$15.4B
AZTABROOKS AUTOMATION INC COM
$15.3B
DCODUCOMMUN INC DEL COM
$15.3B
TSMTAIWAN SEMICONDUCTOR MFG LTD S
$15.2B
KOCOCA COLA CO COM
$15.1B
IVWISHARES TR
$15.0B
ACCDEURACCOLADE INC COM
$14.9B
EYENATIONAL VISION HLDGS INC COM
$14.8B
RBCRBC BEARINGS INC COM
$14.7B
ICLRICON PLC SHS
$14.5B
MDPUSDMEREDITH CORP COM
$14.5B
LQDTLIQUIDITY SERVICES INC COM
$14.4B
BAMBROOKFIELD ASSET MGMT INC CL A
$14.4B
NEOGNEOGEN CORP COM
$14.2B
MLB1MERCADOLIBRE INC COM
$14.2B
HRIHERC HLDGS INC COM
$14.2B
LOWLOWES COS INC COM
$13.9B
CDNACAREDX INC COM
$13.8B
TRISTATE CAP HLDGS INC COM
$13.8B
HLNEHAMILTON LANE INC CL A
$13.6B
PYCRPAYCOR HCM INC COM
$13.5B
PTONPELOTON INTERACTIVE INC CL A C
$13.4B
FOXFFOX FACTORY HLDG CORP COM
$13.3B
LHCGUSDLHC GROUP INC COM
$13.2B
IWBISHARES TR
$13.1B
IWDISHARES TR
$13.1B
MTWMANITOWOC CO INC COM NEW
$13.0B
BHCBAUSCH HEALTH COS INC COM
$13.0B
BRK-BBERKSHIRE HATHAWAY INC DEL CL
$12.8B
TRMBTRIMBLE INC COM
$12.7B
VTIVANGUARD INDEX FDS
$12.5B
MDTMEDTRONIC PLC SHS
$12.3B
TREAN INS GROUP INC COM
$12.2B
RDS/AROYAL DUTCH SHELL PLC SPONS AD
$12.2B
TIVITY HEALTH INC COM
$12.0B
ASMLASML HOLDING N V N Y REGISTRY
$12.0B
SRISTONERIDGE INC COM
$11.9B
MMM3M CO COM
$11.8B
PLMRPALOMAR HLDGS INC COM
$11.8B
AONAON PLC SHS CL A
$11.7B
VCRAUSDVOCERA COMMUNICATIONS INC COM
$11.6B
OLLIOLLIES BARGAIN OUTLT HLDGS INC
$11.6B
CNRCANADIAN NATL RY CO COM
$11.4B
AXPAMERICAN EXPRESS CO COM
$11.4B
IWNISHARES TR
$11.2B
HLMNHILLMAN SOLUTIONS CORP COM
$11.1B
VUGVANGUARD INDEX FDS
$11.1B
ISRGINTUITIVE SURGICAL INC COM NEW
$11.1B
UCBUNITED CMNTY BKS BLAIRSVLE GA
$11.1B
AHHARMADA HOFFLER PPTYS INC COM
$10.9B
FNDFLOOR & DECOR HLDGS INC CL A
$10.9B
IWMISHARES TR
$10.8B
TNDMTANDEM DIABETES CARE INC COM N
$10.8B
MCDMCDONALDS CORP COM
$10.6B
NDLSUSDNOODLES & CO CL A
$10.4B
EHCENCOMPASS HEALTH CORP COM
$10.3B
ATRCATRICURE INC COM
$10.3B
XYLXYLEM INC COM
$10.3B
ENQENTEGRIS INC COM
$10.2B
LESLIES INC COM
$9.9B
VTWGVANGUARD SCOTTSDALE FDS
$9.9B
FTCHQFARFETCH LTD ORD SH CL A
$9.9B
LQDISHARES TR
$9.9B
ZUOUSDZUORA INC COM CL A
$9.9B
COLBCOLUMBIA BKG SYS INC COM
$9.8B
THGHANOVER INS GROUP INC COM
$9.8B
ASPNASPEN AEROGELS INC COM
$9.7B
PACKRANPAK HLDGS CORP COM CL A
$9.6B
CLARCLARUS CORP NEW COM
$9.4B
SWCHEURSWITCH INC CL A
$9.3B
TENBTENABLE HLDGS INC COM
$9.3B
ADPAUTOMATIC DATA PROCESSING INC
$9.3B
RTXRAYTHEON TECHNOLOGIES CORP COM
$9.3B
ADUSADDUS HOMECARE CORP COM
$9.2B
GDYNGRID DYNAMICS HLDGS INC CL A
$9.2B
SYNASYNAPTICS INC COM
$9.0B
AMBAAMBARELLA INC
$9.0B
TSAACI WORLDWIDE INC COM
$8.9B
81299.HKAIA GROUP LTD HONG KONG SHS
$8.9B
ELLAUDER ESTEE COS INC CL A
$8.9B
MAXMEDIAALPHA INC CL A
$8.9B
PAYAUSDPAYA HOLDINGS INC COM CL A
$8.8B
GOOSCANADA GOOSE HOLDINGS INC SHS
$8.7B
CERSCERUS CORP COM
$8.7B
VCVISTEON CORP COM NEW
$8.7B
RAMPLIVERAMP HLDGS INC COM
$8.6B
BMYBRISTOL MYERS SQUIBB CO COM
$8.6B
SPYSPDR S&P 500 ETF TR
$8.6B
QNSTQUINSTREET INC COM
$8.6B
LONDON STK EXCHANGE GROUP UNSP
$8.5B
BTRS HOLDINGS INC COM CL 1
$8.4B
LPSNUSDLIVEPERSON INC COM
$8.4B
TCMDTACTILE SYS TECHNOLOGY INC COM
$8.3B
EWZSISHARES TR
$8.3B
PIIMPINJ INC COM
$8.1B
VECOVEECO INSTRS INC DEL COM
$7.8B
XPELXPEL INC COM
$7.8B
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