CONGRESS ASSET MANAGEMENT CO Q4 2021 Filing
Filed January 28, 2022
Portfolio Value
$13.1B
Holdings
366
Report Date
Q4 2021
Filing Type
13F-HR
All Holdings (366 positions)
| # | Stock | Shares | Value | % Portfolio | Type |
|---|---|---|---|---|---|
| 101 | JNJJohnson & Johnson Com | 97,993 | $16.8B | 127.65% | |
| 102 | APHAmphenol Corp | 187,437 | $16.4B | 124.82% | |
| 103 | ROKRockwell Automation Inc | 46,681 | $16.3B | 124.00% | |
| 104 | FTNTFortinet Inc | 44,701 | $16.1B | 122.33% | |
| 105 | LNTHLantheus Holdings Inc | 552,405 | $16.0B | 121.52% | |
| 106 | 8CWCrown Castle International Cor | 75,795 | $15.8B | 120.48% | |
| 107 | SPGIS&P Global Inc | 33,484 | $15.8B | 120.32% | |
| 108 | EWEdwards Lifesciences Corp | 121,355 | $15.7B | 119.71% | |
| 109 | 1GSNNovanta Inc | 88,337 | $15.6B | 118.60% | |
| 110 | NSCNorfolk Southn Corp | 52,234 | $15.6B | 118.41% | |
| 111 | ADIAnalog Devices Inc | 87,842 | $15.4B | 117.57% | |
| 112 | SKYSkyline Champion Corporation | 194,602 | $15.4B | 117.03% | |
| 113 | WNSNWNS (Holdings) Limited Sponsor | 173,186 | $15.3B | 116.33% | |
| 114 | VMIValmont Industries Inc | 60,675 | $15.2B | 115.73% | |
| 115 | HCQAMN Healthcare Services Inc | 124,037 | $15.2B | 115.53% | |
| 116 | APDAir Products & Chemicals Inc | 48,739 | $14.8B | 112.91% | |
| 117 | ELEstee Lauder Companies Cl A | 39,505 | $14.6B | 111.36% | |
| 118 | CSCOCisco Sys Inc | 230,353 | $14.6B | 111.15% | |
| 119 | NEOGNeogen Corporation | 320,529 | $14.6B | 110.83% | |
| 120 | SSDSimpson Manufacturing Co Inc | 104,408 | $14.5B | 110.56% | |
| 121 | TELTE Connectivity LTD | 89,491 | $14.4B | 109.95% | |
| 122 | OMCLOmnicell Inc | 79,711 | $14.4B | 109.52% | |
| 123 | NARIUSDInari Medical Inc | 157,434 | $14.4B | 109.41% | |
| 124 | TRMBTrimble Navigation Ltd | 164,402 | $14.3B | 109.15% | |
| 125 | EFTTech Target Inc | 149,802 | $14.3B | 109.12% | |
| 126 | ITWIllinois Tool Works Inc | 57,888 | $14.3B | 108.79% | |
| 127 | BCPCBalchem Corp | 84,457 | $14.2B | 108.42% | |
| 128 | PRFTUSDPerficient Inc | 109,593 | $14.2B | 107.89% | |
| 129 | CLARClarus Corp | 506,607 | $14.0B | 106.93% | |
| 130 | ABBVAbbvie Inc | 103,114 | $14.0B | 106.31% | |
| 131 | MAMastercard Inc. CL-A | 38,339 | $13.8B | 104.90% | |
| 132 | —Avid Technology Inc | 422,858 | $13.8B | 104.87% | |
| 133 | ICFIICF International Inc | 134,077 | $13.8B | 104.70% | |
| 134 | UNPUnion Pacific Corp | 54,497 | $13.7B | 104.54% | |
| 135 | EGPEastGroup Properties Inc | 59,383 | $13.5B | 103.02% | |
| 136 | VICRVicor Corp Com | 105,379 | $13.4B | 101.89% | |
| 137 | PWIPower Integrations Inc | 143,822 | $13.4B | 101.73% | |
| 138 | CNMDCONMED Corporation | 93,436 | $13.2B | 100.85% | |
| 139 | CRMsalesforce.com inc | 50,796 | $12.9B | 98.30% | |
| 140 | AMEAmetek Inc New | 87,671 | $12.9B | 98.16% | |
| 141 | CNSCohen & Steers Inc | 136,756 | $12.7B | 96.33% | |
| 142 | AVGOBroadcom Inc | 18,841 | $12.5B | 95.46% | |
| 143 | PGNYProgyny Inc | 248,155 | $12.5B | 95.14% | |
| 144 | HONHoneywell International Inc | 59,747 | $12.5B | 94.86% | |
| 145 | EAFEURGrafTech International Ltd | 1,041,464 | $12.3B | 93.82% | |
| 146 | LHXL3Harris Technologies Inc | 56,638 | $12.1B | 91.96% | |
| 147 | ABCBAmeris Bancorp | 242,504 | $12.0B | 91.74% | |
| 148 | UPSUnited Parcel Service Inc Cl B | 55,940 | $12.0B | 91.30% | |
| 149 | HEIHEICO Corporation | 82,470 | $11.9B | 90.57% | |
| 150 | PGTIUSDPGT Innovations Inc | 526,312 | $11.8B | 90.13% | |
| 151 | RPMRPM International Inc | 116,947 | $11.8B | 89.94% | |
| 152 | ITGRInteger Holdings Corporation | 136,314 | $11.7B | 88.84% | |
| 153 | SUPNSupernus Pharmaceuticals Inc | 396,105 | $11.6B | 87.95% | |
| 154 | NSRGYNestle S A Sponsored Adr | 81,973 | $11.5B | 87.30% | |
| 155 | AMSWAUSDAmerican Software Inc Class A | 430,376 | $11.3B | 85.76% | |
| 156 | CLColgate-Palmolive Co | 131,789 | $11.2B | 85.64% | |
| 157 | AMGNAmgen Inc | 49,924 | $11.2B | 85.52% | |
| 158 | EXPDExpeditors International | 80,232 | $10.8B | 82.04% | |
| 159 | NPOEnPro Industries Inc | 97,175 | $10.7B | 81.44% | |
| 160 | FLWS1-800-Flowers.com Inc Class A | 457,480 | $10.7B | 81.41% | |
| 161 | FICOFair Isaac Corp | 24,609 | $10.7B | 81.26% | |
| 162 | CRNCCerence Inc | 139,183 | $10.7B | 81.22% | |
| 163 | URIUnited Rentals Inc | 31,241 | $10.4B | 79.05% | |
| 164 | WMSAdvanced Drainage Systems Inc | 75,454 | $10.3B | 78.22% | |
| 165 | ILMNIllumina Incorporated | 26,951 | $10.3B | 78.07% | |
| 166 | VRNSVaronis Systems Inc | 206,669 | $10.1B | 76.76% | |
| 167 | CVXChevron Corp | 83,811 | $9.8B | 74.89% | |
| 168 | KLICKulicke & Soffa Inds Inc Com | 161,418 | $9.8B | 74.41% | |
| 169 | MRKMerck & Company Inc | 127,431 | $9.8B | 74.36% | |
| 170 | USRTiShares Core US REIT | 144,091 | $9.7B | 74.16% | |
| 171 | CSGPCostar Group Inc | 122,312 | $9.7B | 73.60% | |
| 172 | PENPenumbra Inc | 33,046 | $9.5B | 72.30% | |
| 173 | IWOiShares Russell 2000 Growth In | 32,374 | $9.5B | 72.24% | |
| 174 | —R1 RCM Inc | 371,197 | $9.5B | 72.05% | |
| 175 | IDXXIdexx Labs Corp | 14,233 | $9.4B | 71.36% | |
| 176 | IBPInstalled Building Products In | 64,324 | $9.0B | 68.43% | |
| 177 | ESEEsco Technologies Inc | 98,542 | $8.9B | 67.53% | |
| 178 | BKNGBooking Holdings Inc | 3,695 | $8.9B | 67.50% | |
| 179 | CHRChurchill Downs Inc | 36,657 | $8.8B | 67.24% | |
| 180 | VEEVVeeva Sys Inc | 34,511 | $8.8B | 67.14% | |
| 181 | CP.TOCanadian Pac Ry Ltd | 122,237 | $8.8B | 66.96% | |
| 182 | XXYCross Country Healthcare Inc | 315,552 | $8.8B | 66.70% | |
| 183 | MCHBHomestreet Inc Com | 164,540 | $8.6B | 65.15% | |
| 184 | GRMNGarmin Ltd | 59,850 | $8.2B | 62.06% | |
| 185 | EQIXEquinix Inc | 9,440 | $8.0B | 60.80% | |
| 186 | SD2Sandy Spring Bancorp Inc Com | 163,288 | $7.9B | 59.78% | |
| 187 | STSensata Technologies Holdings | 125,494 | $7.7B | 58.95% | |
| 188 | UMBFUmb Finl Corp Com | 72,687 | $7.7B | 58.73% | |
| 189 | WF2Wintrust Finl Corp Com | 84,521 | $7.7B | 58.45% | |
| 190 | GPNGlobal Payments Inc. | 56,466 | $7.6B | 58.12% | |
| 191 | BKUBankunited Inc Com | 179,187 | $7.6B | 57.73% | |
| 192 | PFFiShares S&P Preferred Stock In | 190,353 | $7.5B | 57.15% | |
| 193 | EMEEmcor Group Inc Com | 58,628 | $7.5B | 56.87% | |
| 194 | MHOM/I Homes Inc | 119,306 | $7.4B | 56.48% | |
| 195 | BACVerizon Communications Inc Com | 142,726 | $7.4B | 56.47% | |
| 196 | SPGSimon Property Group Inc | 46,406 | $7.4B | 56.45% | |
| 197 | NVDANVIDIA Corp | 25,141 | $7.4B | 56.30% | |
| 198 | LCIILCI Inds Com | 47,385 | $7.4B | 56.24% | |
| 199 | TDSTelephone Data Sys Inc Com | 362,860 | $7.3B | 55.68% | |
| 200 | VPUVanguard Utilities ETF | 46,627 | $7.3B | 55.53% |