HoldingsChannel.com
Aristotle Atlantic Partners LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MERCK & CO INC 664,010 -7,000 $55,677
     MRK664,010-7,000$55,677
UNION PACIFIC CORP 155,000 UNCH $26,212
     UNP155,000UNCH$26,212
EXXON MOBIL CORP 287,296 -22,700 $22,016
     XOM287,296-22,700$22,016
ROPER TECHNOLOGIES INC 46,201 +529 $16,922
     ROP46,201+529$16,922
THERMO FISHER SCIENTIFIC INC 56,619 +861 $16,628
     TMO56,619+861$16,628
AMETEK INC NEW 148,412 +1,560 $13,482
     AME148,412+1,560$13,482
JPMORGAN CHASE & CO 114,541 +2,850 $12,806
     JPM114,541+2,850$12,806
MURPHY OIL CORP 504,855 -3,000 $12,445
     MUR504,855-3,000$12,445
MICROSOFT CORP 83,136 +3,884 $11,136
     MSFT83,136+3,884$11,136
CELGENE CORP 116,666 -23,115 $10,784
     CELG116,666-23,115$10,784
AMERICAN TOWER CORP NEW 40,000 UNCH $8,178
     AMT40,000UNCH$8,178
BIO TECHNE CORP 31,932 +1,425 $6,658
     TECH31,932+1,425$6,658
POTLATCHDELTIC CORPORATION 151,661 UNCH $5,912
     PCH151,661UNCH$5,912
PARKER HANNIFIN CORP 33,015 +2 $5,613
     PH33,015+2$5,613
COOPER COS INC 16,000 UNCH $5,390
     COO16,000UNCH$5,390
GLOBAL PMTS INC 29,543 -12 $4,731
     GPN29,543-12$4,731
AMAZON COM INC 2,445 +221 $4,630
     AMZN2,445+221$4,630
IDEXX LABS INC 16,588 +3 $4,567
     IDXX16,588+3$4,567
MURPHY USA INC 43,413 UNCH $3,648
     MUSA43,413UNCH$3,648
GUARDANT HEALTH INC 42,006 +1,851 $3,627
     GH42,006+1,851$3,627
APPLE INC 18,239 -908 $3,610
     AAPL18,239-908$3,610
BOEING CO 9,767 +271 $3,555
     BA9,767+271$3,555
VISA INC 19,596 +2,072 $3,401
     V19,596+2,072$3,401
ALPHABET INC 2,978 +333 $3,225
     GOOGL2,978+333$3,225
EOG RES INC 30,106 +1,316 $2,804
     EOG30,106+1,316$2,804
SAGE THERAPEUTICS INC 13,903 -46 $2,545
     SAGE13,903-46$2,545
INTERNATIONAL FLAVORS&FRAGRA 16,466 UNCH $2,389
     IFF16,466UNCH$2,389
ABBOTT LABS 26,354 +2,919 $2,217
     ABT26,354+2,919$2,217
BANK AMER CORP 76,344 +1,090 $2,214
     BAC76,344+1,090$2,214
BIOMARIN PHARMACEUTICAL INC 25,000 UNCH $2,141
     BMRN25,000UNCH$2,141
ALLERGAN PLC 12,500 -4,936 $2,093
     AGN12,500-4,936$2,093
ILLUMINA INC 5,627 +5,627 $2,072
     ILMN5,627+5,627$2,072
NVIDIA CORP 12,392 -356 $2,035
     NVDA12,392-356$2,035
HOME DEPOT INC 9,688 +1,371 $2,015
     HD9,688+1,371$2,015
TE CONNECTIVITY LTD 20,000 UNCH $1,916
     TEL20,000UNCH$1,916
NORFOLK SOUTHERN CORP 9,263 +984 $1,846
     NSC9,263+984$1,846
ALIGN TECHNOLOGY INC 6,635 +1 $1,816
     ALGN6,635+1$1,816
INTERCONTINENTAL EXCHANGE IN (ICE) 21,093 +2,718 $1,813
     ICE21,093+2,718$1,813
SUPERNUS PHARMACEUTICALS INC 51,183 +12 $1,694
     SUPN51,183+12$1,694
TELEFLEX INC 4,954 +547 $1,641
     TFX4,954+547$1,641
BECTON DICKINSON & CO 6,507 +707 $1,640
     BDX6,507+707$1,640
DISNEY WALT CO 11,019 +1,565 $1,539
     DIS11,019+1,565$1,539
COSTCO WHSL CORP NEW 5,697 -22 $1,506
     COST5,697-22$1,506
HONEYWELL INTL INC 8,568 +829 $1,496
     HON8,568+829$1,496
CISCO SYS INC 27,288 +5,341 $1,493
     CSCO27,288+5,341$1,493
CIGNA CORP NEW 9,425 +1,153 $1,485
     CI9,425+1,153$1,485
GILEAD SCIENCES INC 21,200 -22,000 $1,432
     GILD21,200-22,000$1,432
BROADCOM INC 4,743 +574 $1,365
     AVGO4,743+574$1,365
SALESFORCE COM INC 8,836 +1,963 $1,341
     CRM8,836+1,963$1,341
AVERY DENNISON CORP 11,080 +1,038 $1,282
     AVY11,080+1,038$1,282

See Full List: All Stocks Held By Aristotle Atlantic Partners LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Aristotle Atlantic Partners LLC

Size ($ in 1000's)
At 06/30/2019: $343,966
At 03/31/2019: $329,097

Aristotle Atlantic Partners LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Aristotle Atlantic Partners LLC 13F filings. Link to 13F filings: SEC filings

Aristotle Atlantic Partners LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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