CONGRESS ASSET MANAGEMENT CO Q1 2022 Filing

Filed April 20, 2022

Portfolio Value

$11.8B

Holdings

361

Report Date

Q1 2022

Filing Type

13F-HR

All Holdings (361 positions)

#StockSharesValue% PortfolioType
101
GOOGAlphabet Inc Cl C
6,120$17.1B145.38%
102
Avid Technology Inc
487,248$17.0B144.50%
103
VMIValmont Industries Inc
70,996$16.9B144.07%
104
NARIUSDInari Medical Inc
186,147$16.9B143.50%
105
ABBVAbbvie Inc
103,352$16.8B142.49%
106
JNJJohnson & Johnson Com
94,153$16.7B141.92%
107
PGNYProgyny Inc
319,737$16.4B139.77%
108
1GSNNovanta Inc
113,973$16.2B137.93%
109
PWIPower Integrations Inc
173,739$16.1B136.95%
110
FIXComfort Systems USA Inc
180,039$16.0B136.29%
111
WNSNWNS (Holdings) Limited Sponsor
186,730$16.0B135.77%
112
HCQAMN Healthcare Services Inc
151,474$15.8B134.40%
113
EFTTech Target Inc
190,369$15.5B131.60%
114
CNMDCONMED Corporation
101,403$15.1B128.11%
115
SUPNSupernus Pharmaceuticals Inc
464,101$15.0B127.57%
116
NSCNorfolk Southn Corp
52,238$14.9B126.72%
117
ICFIICF International Inc
158,076$14.9B126.56%
118
ELEstee Lauder Companies Cl A
54,451$14.8B126.11%
119
ADIAnalog Devices Inc
89,540$14.8B125.79%
120
DGDollar General Corp
64,733$14.4B122.57%
121
ADSKAutodesk Inc
67,222$14.4B122.55%
122
UNPUnion Pacific Corp
52,606$14.4B122.23%
123
APHAmphenol Corp
190,215$14.3B121.90%
124
8CWCrown Castle International Cor
77,153$14.2B121.13%
125
SKYSkyline Champion Corporation
256,868$14.1B119.89%
126
CLARClarus Corp
618,723$14.1B119.88%
127
CVXChevron Corp
85,821$14.0B118.85%
128
ITGRInteger Holdings Corporation
173,283$14.0B118.74%
129
AMSWAUSDAmerican Software Inc Class A
658,708$13.7B116.75%
130
NEOGNeogen Corporation
444,938$13.7B116.71%
131
BCPCBalchem Corp
99,764$13.6B115.99%
132
EWEdwards Lifesciences Corp
115,616$13.6B115.75%
133
CNSCohen & Steers Inc
158,355$13.6B115.68%
134
ABCBAmeris Bancorp
309,467$13.6B115.49%
135
OMCLOmnicell Inc
104,515$13.5B115.11%
136
CLBCore Laboratories NV
426,770$13.5B114.81%
137
UCTTUltra Clean Holdings Inc
316,611$13.4B114.15%
138
SSDSimpson Manufacturing Co Inc
122,930$13.4B114.00%
139
DEDeere & Co
32,191$13.4B113.75%
140
MAMastercard Inc. CL-A
36,829$13.2B111.94%
141
CSCOCisco Sys Inc
233,395$13.0B110.68%
142
Rada Electronic Industries LTD
931,459$13.0B110.35%
143
AMGNAmgen Inc
53,469$12.9B109.97%
144
ROKRockwell Automation Inc
45,506$12.7B108.38%
145
FTNTFortinet Inc
37,068$12.7B107.74%
146
ITWIllinois Tool Works Inc
59,542$12.5B106.04%
147
HEIHEICO Corporation
80,158$12.3B104.68%
148
EGPEastGroup Properties Inc
60,519$12.3B104.63%
149
UPSUnited Parcel Service Inc Cl B
56,923$12.2B103.83%
150
HONHoneywell International Inc
61,649$12.0B102.03%
151
AFWAlign Technology Inc
27,025$11.8B100.21%
152
TELTE Connectivity LTD
89,210$11.7B99.38%
153
APDAir Products & Chemicals Inc
46,208$11.5B98.22%
154
AVGOBroadcom Inc
18,157$11.4B97.24%
155
VICRVicor Corp Com
160,647$11.3B96.40%
156
AMEAmetek Inc New
84,819$11.3B96.07%
157
FICOFair Isaac Corp
24,171$11.3B95.89%
158
MRKMerck & Company Inc
136,437$11.2B95.21%
159
WMSAdvanced Drainage Systems Inc
93,292$11.1B94.27%
160
NSRGYNestle S A Sponsored Adr
83,881$11.0B93.18%
161
PGTIUSDPGT Innovations Inc
608,069$10.9B92.98%
162
URIUnited Rentals Inc
30,666$10.9B92.64%
163
CRMsalesforce.com inc
49,490$10.5B89.37%
164
CLColgate-Palmolive Co
138,141$10.5B89.09%
165
BACVerizon Communications Inc Com
203,055$10.3B87.98%
166
CP.TOCanadian Pac Ry Ltd
119,994$9.9B84.23%
167
RPMRPM International Inc
120,366$9.8B83.37%
168
R1 RCM Inc
364,355$9.8B82.92%
169
USRTiShares Core US REIT
150,036$9.7B82.50%
170
KLICKulicke & Soffa Inds Inc Com
170,637$9.6B81.30%
171
VRNSVaronis Systems Inc
201,006$9.6B81.27%
172
GSGoldman Sachs Group Inc
28,853$9.5B81.00%
173
NPOEnPro Industries Inc
94,844$9.3B78.83%
174
ILMNIllumina Incorporated
26,217$9.2B77.91%
175
CRNCCerence Inc
249,288$9.0B76.54%
176
INMDInMode Ltd
243,087$9.0B76.31%
177
NVSTEnvista Holdings Corp
177,939$8.7B73.71%
178
NVDANVIDIA Corp
31,191$8.5B72.39%
179
VIRTVirtu Finl Corp Conn
226,873$8.4B71.82%
180
BKNGBooking Holdings Inc
3,562$8.4B71.14%
181
MCHBHomestreet Inc Com
175,611$8.3B70.76%
182
WF2Wintrust Finl Corp Com
89,410$8.3B70.67%
183
BKUBankunited Inc Com
185,867$8.2B69.49%
184
EXPDExpeditors International
78,346$8.1B68.74%
185
CSGPCostar Group Inc
119,940$8.0B67.95%
186
CHRChurchill Downs Inc
35,975$8.0B67.85%
187
VPUVanguard Utilities ETF
48,432$7.8B66.65%
188
SD2Sandy Spring Bancorp Inc Com
172,535$7.8B65.91%
189
MTDRMatador Res Co
145,859$7.7B65.73%
190
VEEVVeeva Sys Inc
35,938$7.6B64.94%
191
GPNGlobal Payments Inc.
55,530$7.6B64.63%
192
RRCRange Resources Corp
249,238$7.6B64.40%
193
UMBFUmb Finl Corp Com
76,529$7.4B63.24%
194
XXYCross Country Healthcare Inc
340,754$7.4B62.80%
195
PENPenumbra Inc
32,958$7.3B62.26%
196
PFFiShares S&P Preferred Stock In
199,367$7.3B61.75%
197
SLPSimulations Plus Inc
142,394$7.3B61.74%
198
TDSTelephone Data Sys Inc Com
384,290$7.3B61.70%
199
CR1USDCrane Co
65,442$7.1B60.27%
200
WAFDWashington Fed Inc Com
213,076$7.0B59.48%
PreviousPage 2 of 4Next