CONGRESS ASSET MANAGEMENT CO Q3 2023 Filing

Filed November 1, 2023

Portfolio Value

$11.3B

Holdings

374

Report Date

Q3 2023

Filing Type

13F-HR

All Holdings (374 positions)

#StockSharesValue% PortfolioType
101
MGPIMGP Ingredients Inc
277,229$29.2B258.61%
102
VMIValmont Industries Inc
120,443$28.9B255.86%
103
FOXFFox Factory Holding Corp
285,275$28.3B249.97%
104
HCQAMN Healthcare Services Inc
330,274$28.1B248.79%
105
CNMDCONMED Corporation
278,187$28.1B248.11%
106
BCPCBalchem Corp
225,303$27.9B247.15%
107
LMATLemaitre Vascular Inc
508,379$27.7B244.94%
108
SKYSkyline Champion Corporation
434,016$27.7B244.57%
109
PGTIUSDPGT Innovations Inc
991,898$27.5B243.42%
110
PGNYProgyny Inc
798,444$27.2B240.22%
111
ABCBAmeris Bancorp
704,319$27.0B239.12%
112
CLBCore Laboratories Inc Com
1,124,863$27.0B238.84%
113
INMDInMode Ltd
862,871$26.3B232.44%
114
SUPNSupernus Pharmaceuticals Inc
917,164$25.3B223.62%
115
EOGEOG Res Inc
196,401$24.9B220.16%
116
UCTTUltra Clean Holdings Inc
823,957$24.4B216.19%
117
IWPiShares Russell MidCap Growth
262,697$24.0B212.22%
118
PERIPerion Network Ltd
772,606$23.7B209.28%
119
CHUYUSDChuy's Holdings Inc
657,436$23.4B206.86%
120
CNSCohen & Steers Inc
358,415$22.5B198.71%
121
FICOFair Isaac Corp
23,757$20.6B182.47%
122
SYKStryker Corporation
69,702$19.0B168.45%
123
NEOGNeogen Corporation
1,010,743$18.7B165.72%
124
NKENike Inc Cl B
193,142$18.5B163.33%
125
ADIAnalog Devices Inc
95,839$16.8B148.40%
126
BRBroadridge Financial Solutions
91,483$16.4B144.85%
127
JPMJPMorgan Chase & Co
112,067$16.3B143.73%
128
ABBVAbbvie Inc
107,223$16.0B141.34%
129
CATCaterpillar Inc
58,375$15.9B140.93%
130
AMGNAmgen Inc
58,433$15.7B138.88%
131
FTNTFortinet Inc
267,023$15.7B138.56%
132
JNJJohnson & Johnson Com
99,255$15.5B136.71%
133
CSCOCisco Sys Inc
280,371$15.1B133.29%
134
LINLinde Plc Com
40,174$15.0B132.28%
135
MRKMerck & Company Inc
144,226$14.8B131.31%
136
ITWIllinois Tool Works Inc
63,448$14.6B129.22%
137
TROWT Rowe Price Group Inc.
139,039$14.6B128.94%
138
APHAmphenol Corp
171,614$14.4B127.46%
139
MAMastercard Inc. CL-A
36,112$14.3B126.44%
140
GOOGAlphabet Inc Cl C
107,849$14.2B125.75%
141
7SUSummit Materials Inc Cl A
449,963$14.0B123.91%
142
LULULululemon Athletica Inc Com
35,910$13.8B122.46%
143
MCDMcdonalds Corp
49,318$13.0B114.90%
144
APDAir Products & Chemicals Inc
45,292$12.8B113.51%
145
NEENextera Energy Inc Com
222,963$12.8B112.96%
146
RPMRPM International Inc
134,276$12.7B112.58%
147
DEDeere & Co
33,624$12.7B112.21%
148
TELTE Connectivity LTD
99,328$12.3B108.51%
149
HONHoneywell International Inc
65,694$12.1B107.33%
150
ORCLOracle Corporation
113,802$12.1B106.59%
151
AMEAmetek Inc New
80,927$12.0B105.74%
152
RRCRange Resources Corp
363,186$11.8B104.09%
153
HALOHalozyme Therapeutics Inc
303,717$11.6B102.60%
154
ROKRockwell Automation Inc
39,553$11.3B99.99%
155
CLColgate-Palmolive Co
157,284$11.2B98.91%
156
HEIHEICO Corporation
68,635$11.1B98.29%
157
ELEstee Lauder Companies Cl A
76,251$11.0B97.48%
158
BKNGBooking Holdings Inc
3,491$10.8B95.21%
159
NSRGYNestle S A Sponsored Adr
94,860$10.8B95.13%
160
UPSUnited Parcel Service Inc Cl B
67,180$10.5B92.60%
161
ADSKAutodesk Inc
49,408$10.2B90.41%
162
TRNOTerreno Realty Corporation
178,318$10.1B89.57%
163
WEAWestern Alliance Bancorp
215,562$9.9B87.63%
164
AFWAlign Technology Inc
32,329$9.9B87.29%
165
ALSAllstate Corp
88,468$9.9B87.16%
166
TRMBTrimble Inc
180,504$9.7B85.97%
167
UFPTUFP Technologies Inc
58,915$9.5B84.11%
168
GSGoldman Sachs Group Inc
28,767$9.3B82.32%
169
WERNWerner Enterprises Inc
236,477$9.2B81.45%
170
WDAYWorkday Inc
41,181$8.8B78.24%
171
XXYCross Country Healthcare Inc
349,125$8.7B76.53%
172
EWEdwards Lifesciences Corp
122,701$8.5B75.17%
173
TMOThermo Fisher Scientific Inc.
16,752$8.5B74.99%
174
DVDoubleVerify Holdings Inc
297,358$8.3B73.50%
175
GPIGroup 1 Automotive Inc
30,706$8.3B72.97%
176
SKAASkechers U S A Inc Cl A
166,452$8.1B72.05%
177
HURNHuron Consulting Group
76,877$8.0B70.81%
178
AVGOBroadcom Inc
9,600$8.0B70.51%
179
TBBKBancorp Inc
226,728$7.8B69.18%
180
MLIMueller Inds Inc
100,202$7.5B66.60%
181
ACHCAcadia Healthcare Company Inc
105,972$7.5B65.89%
182
STAGSTAG Industrial Inc
212,960$7.3B64.99%
183
PCHPotlatchDeltic Corporation
161,864$7.3B64.97%
184
TNETTrinet Group
62,873$7.3B64.76%
185
AWMSkyworks Solutions Inc
72,916$7.2B63.57%
186
PATKPatrick Industries Inc
95,243$7.1B63.22%
187
WF2Wintrust Finl Corp Com
94,095$7.1B62.83%
188
CDNSCadence Design System Inc
29,864$7.0B61.88%
189
GPNGlobal Payments Inc.
58,836$6.8B60.04%
190
UMBFUmb Finl Corp Com
109,276$6.8B59.96%
191
8CWCrown Castle International Cor
73,317$6.7B59.67%
192
HSYHershey Company
33,573$6.7B59.40%
193
MTDRMatador Res Co
112,743$6.7B59.30%
194
NFLXNetflix Inc
17,729$6.7B59.20%
195
LCIILCI Inds Com
56,615$6.6B58.78%
196
KLICKulicke & Soffa Inds Inc Com
136,439$6.6B58.68%
197
TALOTalos Energy Inc
384,217$6.3B55.86%
198
GRMNGarmin Ltd
59,571$6.3B55.41%
199
APLEApple Hospitality REIT Inc
403,887$6.2B54.79%
200
CENTACentral Garden & Pet Co Cl A N
154,231$6.2B54.68%
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