CONGRESS ASSET MANAGEMENT CO Q3 2024 Filing

Filed October 28, 2024

Portfolio Value

$14.7B

Holdings

357

Report Date

Q3 2024

Filing Type

13F-HR

All Holdings (357 positions)

#StockSharesValue% PortfolioType
101
TSCOTractor Supply Company
179,458$52.2B355.96%
102
ABCBAmeris Bancorp
809,338$50.5B344.27%
103
NPOEnPro Industries Inc
309,042$50.1B341.72%
104
NVMINova Measuring Instruments Ltd
233,865$48.7B332.19%
105
CRTOCriteo SA Sponsored ADR
1,209,061$48.7B331.71%
106
FCNFTI Consulting Inc
211,370$48.1B327.94%
107
BOXBox Inc Class A
1,412,653$46.2B315.24%
108
LRNStride Inc
534,711$45.6B311.01%
109
YETIYETI Holdings Inc
1,070,653$43.9B299.50%
110
SMSM Energy Co
1,090,635$43.6B297.21%
111
IWPiShares Russell MidCap Growth
368,085$43.2B294.35%
112
PJTPJT Partners Inc
317,974$42.4B289.07%
113
CXTCrane NXT Co
742,813$41.7B284.11%
114
CNSCohen & Steers Inc
432,897$41.5B283.19%
115
MGPIMGP Ingredients Inc
490,546$40.8B278.43%
116
PWIPower Integrations Inc
621,875$39.9B271.86%
117
OIIOceaneering International Inc
1,560,873$38.8B264.66%
118
FICOFair Isaac Corp
14,907$29.0B197.53%
119
WEAWestern Alliance Bancorp
327,183$28.3B192.93%
120
STESteris Plc Shs Usd
111,301$27.0B184.04%
121
ACNAccenture Plc Ireland Shs Clas
67,410$23.8B162.46%
122
SYKStryker Corporation Com
65,171$23.5B160.52%
123
EOGEog Res Inc Com
188,511$23.2B157.99%
124
UNHUnitedhealth Group Inc Com
39,082$22.9B155.79%
125
FTNTFortinet Inc Com
291,917$22.6B154.35%
126
KNSLKinsale Cap Group Inc
47,066$21.9B149.40%
127
CATCaterpillar Inc Com
55,250$21.6B147.33%
128
JPMJpmorgan Chase & Co Com
99,101$20.9B142.47%
129
CYBRCyberark Software Ltd
70,257$20.5B139.68%
130
ADIAnalog Devices Inc Com
88,350$20.3B138.64%
131
APHAmphenol Corp
310,173$20.2B137.79%
132
7SUSummit Materials Inc Cl A
509,409$19.9B135.55%
133
ABBVAbbvie Inc Com
96,329$19.0B129.70%
134
LINLinde Plc Shs
39,197$18.7B127.43%
135
ORCLOracle Corp Com
107,441$18.3B124.82%
136
AVYAvery Dennison Corp
82,002$18.1B123.42%
137
BRBroadridge Financial Solutions
82,220$17.7B120.53%
138
RRCRange Resources Corp
572,192$17.6B120.00%
139
TRNOTerreno Realty Corporation
261,033$17.4B118.93%
140
HEIHeico Corp New Com
66,248$17.3B118.10%
141
AMGNAmgen Inc Com
53,541$17.3B117.62%
142
WSMWilliams-Sonoma Inc
108,370$16.8B114.46%
143
HLNEHamilton Lane Inc Cl A
99,446$16.7B114.17%
144
ALSAllstate Corp
87,906$16.7B113.66%
145
MAMastercard Incorporated Cl A
32,680$16.1B110.02%
146
ADBEAdobe Inc Com
30,462$15.8B107.53%
147
NEENextera Energy Inc Com
185,506$15.7B106.91%
148
ITWIllinois Tool Wks Inc Com
59,717$15.7B106.70%
149
MEDPMedpace Holdings Inc
46,818$15.6B106.54%
150
RGENRepligen Corporation
103,764$15.4B105.28%
151
MRKMerck & Co Inc Com
135,062$15.3B104.57%
152
AZEKAzek Co Inc Class A
327,298$15.3B104.43%
153
BJBJ Wholesale Club
185,071$15.3B104.07%
154
CLColgate-Palmolive Co
145,189$15.1B102.76%
155
TROWT Rowe Price Group Inc.
138,306$15.1B102.71%
156
ENQEntegris Inc
133,798$15.1B102.65%
157
CDWCDW Corporation
65,558$14.8B101.14%
158
WHDCactus Inc Cl A
248,119$14.8B100.94%
159
WERNWerner Enterprises Inc
369,658$14.3B97.26%
160
MCDMcdonalds Corp Com
46,771$14.2B97.10%
161
CMECME Group Inc
64,319$14.2B96.76%
162
BKNGBooking Holdings Inc Com
3,363$14.2B96.58%
163
TELTE Connectivity LTD
93,735$14.2B96.49%
164
MLIMueller Inds Inc
190,186$14.1B96.08%
165
PWRQuanta Svcs Inc Com
47,093$14.0B95.72%
166
AVGOBroadcom Inc Com
80,799$13.9B95.02%
167
VMIValmont Industries Inc
47,863$13.9B94.61%
168
MODModine Manufacturing Co
103,478$13.7B93.68%
169
CSCOCisco Sys Inc Com
254,027$13.5B92.17%
170
AMEAmetek Inc Com
78,479$13.5B91.87%
171
MORNMorningstar Inc
41,627$13.3B90.56%
172
GOOGAlphabet Inc Cap Stk Cl C
78,193$13.1B89.13%
173
PODDInsulet Corp Com
55,900$13.0B88.70%
174
PATKPatrick Industries Inc
90,164$12.8B87.52%
175
CVXChevron Corp New Com
86,930$12.8B87.28%
176
K6BKBR Inc com
191,277$12.5B84.93%
177
HONHoneywell Intl Inc Com
59,518$12.3B83.87%
178
UMBFUmb Finl Corp Com
116,255$12.2B83.31%
179
IBMInternational Business Machs C
53,414$11.8B80.51%
180
TBBKBancorp Inc
213,433$11.4B77.85%
181
GPIGroup 1 Automotive Inc
28,122$10.8B73.44%
182
OPCHOption Care Health Inc
341,602$10.7B72.90%
183
MDLZMondelez Intl Inc Cl A
140,712$10.4B70.68%
184
ASMLAsml Holding Nv Adr
12,422$10.3B70.57%
185
VBKVanguard Small Cap Growth ETF
38,675$10.3B70.50%
186
VIRTVirtu Finl Corp Conn
334,461$10.2B69.45%
187
GRMNGarmin Ltd
57,409$10.1B68.90%
188
WDAYWorkday Inc Cl A
40,653$9.9B67.74%
189
WF2Wintrust Finl Corp Com
89,928$9.8B66.54%
190
CDNSCadence Design System Inc Com
35,166$9.5B64.98%
191
LECOLincoln Electric Holdings
49,181$9.4B64.38%
192
ACVAACV Auctions Inc Class A
463,882$9.4B64.29%
193
UPSUnited Parcel Service Inc Cl B
69,047$9.4B64.18%
194
TRMBTrimble Inc
151,234$9.4B64.02%
195
SMPLSimply Good Foods Co Com
267,297$9.3B63.36%
196
APY1EURChampionX Corporation
305,956$9.2B62.89%
197
CHHChoice Hotels Intl Inc
70,003$9.1B62.19%
198
NKENike Inc Cl B
100,516$8.9B60.58%
199
HSYHershey Company
45,335$8.7B59.28%
200
CNXCNX Resources Corporation
248,496$8.1B55.18%
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