CONGRESS ASSET MANAGEMENT CO Q1 2023 Filing
Filed April 21, 2023
Portfolio Value
$10.7B
Holdings
368
Report Date
Q1 2023
Filing Type
13F-HR
All Holdings (368 positions)
| # | Stock | Shares | Value | % Portfolio | Type |
|---|---|---|---|---|---|
| 101 | CALXCalix Inc | 409,983 | $22.0B | 204.70% | |
| 102 | SSDSimpson Manufacturing Co Inc | 200,312 | $22.0B | 204.63% | |
| 103 | ITGRInteger Holdings Corporation | 281,663 | $21.8B | 203.38% | |
| 104 | MEDPMedpace Holdings Inc | 112,455 | $21.1B | 197.03% | |
| 105 | JPXAeroVironment Inc | 228,517 | $20.9B | 195.15% | |
| 106 | YETIYETI Holdings Inc | 522,611 | $20.9B | 194.77% | |
| 107 | CNMDCONMED Corporation | 199,925 | $20.8B | 193.46% | |
| 108 | PRFTUSDPerficient Inc | 282,840 | $20.4B | 190.24% | |
| 109 | SUPNSupernus Pharmaceuticals Inc | 560,637 | $20.3B | 189.24% | |
| 110 | SFMSprouts Farmers Market Inc | 575,233 | $20.1B | 187.74% | |
| 111 | MGPIMGP Ingredients Inc | 206,204 | $19.9B | 185.82% | |
| 112 | BCPCBalchem Corp | 157,296 | $19.9B | 185.36% | |
| 113 | AVDAmerican Vanguard Corp | 908,394 | $19.9B | 185.18% | |
| 114 | PGTIUSDPGT Innovations Inc | 788,040 | $19.8B | 184.36% | |
| 115 | SYKStryker Corporation | 69,241 | $19.8B | 184.16% | |
| 116 | HCQAMN Healthcare Services Inc | 234,575 | $19.5B | 181.31% | |
| 117 | IWPiShares Russell MidCap Growth | 210,547 | $19.2B | 178.61% | |
| 118 | IWFiShares Tr Russ 1000 Grw ETF | 77,628 | $19.0B | 176.71% | |
| 119 | PGNYProgyny Inc | 589,173 | $18.9B | 176.32% | |
| 120 | ADIAnalog Devices Inc | 92,461 | $18.2B | 169.90% | |
| 121 | UCTTUltra Clean Holdings Inc | 536,173 | $17.8B | 165.65% | |
| 122 | FICOFair Isaac Corp | 25,066 | $17.6B | 164.10% | |
| 123 | FTNTFortinet Inc | 262,829 | $17.5B | 162.74% | |
| 124 | ABCBAmeris Bancorp | 475,604 | $17.4B | 162.09% | |
| 125 | CLBCore Laboratories NV | 779,017 | $17.2B | 160.04% | |
| 126 | NEENextera Energy Inc Com | 220,962 | $17.0B | 158.68% | |
| 127 | CATCaterpillar Inc | 74,270 | $17.0B | 158.36% | |
| 128 | ABBVAbbvie Inc | 104,861 | $16.7B | 155.70% | |
| 129 | 7SUSummit Materials Inc Cl A | 561,838 | $16.0B | 149.13% | |
| 130 | JNJJohnson & Johnson Com | 99,123 | $15.4B | 143.15% | |
| 131 | CNSCohen & Steers Inc | 240,087 | $15.4B | 143.07% | |
| 132 | ITWIllinois Tool Works Inc | 62,656 | $15.3B | 142.12% | |
| 133 | AMSWAUSDAmerican Software Inc Class A | 1,195,771 | $15.1B | 140.49% | |
| 134 | TROWT Rowe Price Group Inc. | 133,128 | $15.0B | 140.04% | |
| 135 | MRKMerck & Company Inc | 140,860 | $15.0B | 139.63% | |
| 136 | JPMJPMorgan Chase & Co | 112,124 | $14.6B | 136.13% | |
| 137 | CSCOCisco Sys Inc | 278,215 | $14.5B | 135.50% | |
| 138 | APHAmphenol Corp | 175,463 | $14.3B | 133.59% | |
| 139 | DGDollar General Corp | 66,052 | $13.9B | 129.52% | |
| 140 | AMGNAmgen Inc | 57,285 | $13.8B | 129.03% | |
| 141 | DEDeere & Co | 33,444 | $13.8B | 128.65% | |
| 142 | MCDMcdonalds Corp | 48,592 | $13.6B | 126.58% | |
| 143 | LINLinde Plc Com | 38,219 | $13.6B | 126.57% | |
| 144 | LULULululemon Athletica Inc Com | 36,764 | $13.4B | 124.75% | |
| 145 | MAMastercard Inc. CL-A | 36,414 | $13.2B | 123.30% | |
| 146 | APDAir Products & Chemicals Inc | 45,934 | $13.2B | 122.91% | |
| 147 | HONHoneywell International Inc | 68,345 | $13.1B | 121.70% | |
| 148 | TELTE Connectivity LTD | 98,413 | $12.9B | 120.25% | |
| 149 | UPSUnited Parcel Service Inc Cl B | 64,133 | $12.4B | 115.92% | |
| 150 | ROKRockwell Automation Inc | 42,287 | $12.4B | 115.62% | |
| 151 | CLColgate-Palmolive Co | 159,449 | $12.0B | 111.64% | |
| 152 | AMEAmetek Inc New | 80,292 | $11.7B | 108.71% | |
| 153 | GOOGAlphabet Inc Cl C | 111,992 | $11.6B | 108.52% | |
| 154 | 8CWCrown Castle International Cor | 86,752 | $11.6B | 108.17% | |
| 155 | HEIHEICO Corporation | 67,510 | $11.5B | 107.58% | |
| 156 | RPMRPM International Inc | 131,929 | $11.5B | 107.23% | |
| 157 | NSRGYNestle S A Sponsored Adr | 93,649 | $11.4B | 106.45% | |
| 158 | AFWAlign Technology Inc | 33,885 | $11.3B | 105.49% | |
| 159 | NEOGNeogen Corporation | 603,712 | $11.2B | 104.17% | |
| 160 | ALSAllstate Corp | 96,556 | $10.7B | 99.69% | |
| 161 | ADSKAutodesk Inc | 51,402 | $10.7B | 99.69% | |
| 162 | UNPUnion Pacific Corp | 52,758 | $10.6B | 98.92% | |
| 163 | TRNOTerreno Realty Corporation | 162,438 | $10.5B | 97.77% | |
| 164 | BACVerizon Communications Inc Com | 260,336 | $10.1B | 94.33% | |
| 165 | TMOThermo Fisher Scientific Inc. | 17,073 | $9.8B | 91.68% | |
| 166 | EWEdwards Lifesciences Corp | 116,882 | $9.7B | 90.09% | |
| 167 | BKNGBooking Holdings Inc | 3,633 | $9.6B | 89.78% | |
| 168 | GSGoldman Sachs Group Inc | 29,314 | $9.6B | 89.33% | |
| 169 | KLICKulicke & Soffa Inds Inc Com | 178,694 | $9.4B | 87.72% | |
| 170 | APY1EURChampionX Corporation | 346,636 | $9.4B | 87.62% | |
| 171 | DYHTarget Corp Com | 55,406 | $9.2B | 85.50% | |
| 172 | DVDoubleVerify Holdings Inc | 300,398 | $9.1B | 84.39% | |
| 173 | RRCRange Resources Corp | 340,288 | $9.0B | 83.92% | |
| 174 | WERNWerner Enterprises Inc | 194,451 | $8.8B | 82.41% | |
| 175 | HSYHershey Company | 34,668 | $8.8B | 82.17% | |
| 176 | SPGSimon Property Group Inc | 74,613 | $8.4B | 77.84% | |
| 177 | MHOM/I Homes Inc | 129,928 | $8.2B | 76.37% | |
| 178 | SKAASkechers U S A Inc Cl A | 167,912 | $8.0B | 74.34% | |
| 179 | PCHPotlatchDeltic Corporation | 159,580 | $7.9B | 73.60% | |
| 180 | XXYCross Country Healthcare Inc | 350,973 | $7.8B | 72.98% | |
| 181 | ZBRAZebra Technologies Corp- Cl A | 24,498 | $7.8B | 72.58% | |
| 182 | SHYFShyft Group Inc | 340,250 | $7.7B | 72.12% | |
| 183 | ACHCAcadia Healthcare Company Inc | 104,427 | $7.5B | 70.29% | |
| 184 | STAGSTAG Industrial Inc | 209,835 | $7.1B | 66.12% | |
| 185 | URIUnited Rentals Inc | 17,781 | $7.0B | 65.57% | |
| 186 | AVGOBroadcom Inc | 10,828 | $6.9B | 64.72% | |
| 187 | WF2Wintrust Finl Corp Com | 94,909 | $6.9B | 64.50% | |
| 188 | GPIGroup 1 Automotive Inc | 30,407 | $6.9B | 64.14% | |
| 189 | WAFDWashington Fed Inc Com | 225,598 | $6.8B | 63.31% | |
| 190 | PATKPatrick Industries Inc | 96,207 | $6.6B | 61.67% | |
| 191 | CWENClearway Energy Inc Cl C | 210,659 | $6.6B | 61.48% | |
| 192 | VIRTVirtu Finl Corp Conn | 346,346 | $6.5B | 60.98% | |
| 193 | AMLPAlerian MLP ETF | 167,865 | $6.5B | 60.44% | |
| 194 | HZNPHorizon Therapeutics Plc | 59,423 | $6.5B | 60.42% | |
| 195 | GRMNGarmin Ltd | 63,371 | $6.4B | 59.58% | |
| 196 | DC4Dexcom Inc. | 54,648 | $6.3B | 59.16% | |
| 197 | TBBKBancorp Inc | 222,943 | $6.2B | 57.84% | |
| 198 | APLEApple Hospitality REIT Inc | 398,098 | $6.2B | 57.56% | |
| 199 | LCIILCI Inds Com | 55,862 | $6.1B | 57.18% | |
| 200 | CALMCal Maine Foods Inc | 100,556 | $6.1B | 57.04% |