HoldingsChannel.com
Champlain Investment Partners LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Integra LifeSciences Holdings 6,199,220 +132,560 $276,919
     IART6,199,220+132,560$276,919
Catalent Inc 4,907,175 +55,970 $254,928
     CTLT4,907,175+55,970$254,928
Pure Storage Inc. Class A 18,395,170 +1,781,810 $226,261
     PSTG18,395,170+1,781,810$226,261
Fortive Corp. 3,915,315 +760,015 $216,086
     FTV3,915,315+760,015$216,086
J.M. Smucker Company 1,946,215 +66,115 $216,030
     SJM1,946,215+66,115$216,030
ServiceNow Inc. 739,320 +5,655 $211,874
     NOW739,320+5,655$211,874
AMETEK Inc. 2,907,520 +626,715 $209,400
     AME2,907,520+626,715$209,400
Bio Techne Corporation 1,096,205 +228,530 $207,862
     TECH1,096,205+228,530$207,862
Everest Re Group Ltd. 1,046,625 +45,035 $201,392
     RE1,046,625+45,035$201,392
Arthur J. Gallagher & Co. 2,427,005 +226,180 $197,825
     AJG2,427,005+226,180$197,825
Workday Inc. Class A 1,490,455 +281,025 $194,087
     WDAY1,490,455+281,025$194,087
Aptargroup Inc. 1,873,730 +532,875 $186,511
     ATR1,873,730+532,875$186,511
Waters Corporation 1,015,785 +17,210 $184,924
     WAT1,015,785+17,210$184,924
Rockwell Automation Inc. 1,218,655 +35,335 $183,907
     ROK1,218,655+35,335$183,907
Splunk Inc. 1,454,285 +278,110 $183,574
     SPLK1,454,285+278,110$183,574
Tractor Supply Company 2,100,520 +269,315 $177,599
     TSCO2,100,520+269,315$177,599
Edwards Lifesciences Corporati 936,554 +28,654 $176,653
     EW936,554+28,654$176,653
TreeHouse Foods Inc. 3,984,335 +283,135 $175,908
     THS3,984,335+283,135$175,908
New Relic Inc. 3,794,970 +534,370 $175,479
     NEWR3,794,970+534,370$175,479
Nordson Corporation 1,282,985 -12,095 $173,293
     NDSN1,282,985-12,095$173,293
IDEX Corporation 1,253,570 +110,660 $173,131
     IEX1,253,570+110,660$173,131
Veeva Systems Inc Class A 1,089,335 +182,315 $170,339
     VEEV1,089,335+182,315$170,339
John Wiley & Sons Inc. Class      $164,517
     JW.A4,388,290+33,535$164,517
Clarivate Analytics Plc 7,524,955 +2,562,800 $156,143
     CCC7,524,955+2,562,800$156,143
DENTSPLY SIRONA Inc. 3,954,290 +339,685 $153,545
     XRAY3,954,290+339,685$153,545
Medallia Inc. 7,455,235 +4,706,160 $149,403
     MDLA7,455,235+4,706,160$149,403
Palo Alto Networks Inc. 888,265 +16,815 $145,640
     PANW888,265+16,815$145,640
Northern Trust Corporation 1,907,715 +64,500 $143,956
     NTRS1,907,715+64,500$143,956
Lamb Weston Holdings Inc. 2,518,260 +228,505 $143,793
     LW2,518,260+228,505$143,793
Ulta Beauty Inc 808,785 +17,750 $142,104
     ULTA808,785+17,750$142,104
Lancaster Colony Corporation 961,495 +194,710 $139,071
     LANC961,495+194,710$139,071
Masimo Corporation 773,350 -292,345 $136,976
     MASI773,350-292,345$136,976
Advance Auto Parts Inc. 1,431,560 +276,805 $133,593
     AAP1,431,560+276,805$133,593
Cooper Companies Inc. 482,830 +2,925 $133,102
     COO482,830+2,925$133,102
Cantel Medical Corp. 3,669,710 +229,960 $131,743
     CMD3,669,710+229,960$131,743
Prosperity Bancshares Inc. R (PB) 2,596,975 +47,935 $125,304
     PB2,596,975+47,935$125,304
Okta Inc. Class A 975,900 +231,415 $119,314
     OKTA975,900+231,415$119,314
John Bean Technologies Corpora 1,574,565 +234,195 $116,943
     JBT1,574,565+234,195$116,943
Q2 Holdings Inc. 1,879,060 +175,085 $110,977
     QTWO1,879,060+175,085$110,977
Hostess Brands Inc. Class A 9,838,905 -45,395 $104,883
     TWNK9,838,905-45,395$104,883
Zscaler Inc. 1,702,290 +1,702,290 $103,601
     ZS1,702,290+1,702,290$103,601
West Pharmaceutical Services 639,730 +23,705 $97,399
     WST639,730+23,705$97,399
Synopsys Inc. 736,070 +132,955 $94,798
     SNPS736,070+132,955$94,798
Cardiovascular Systems Inc. 2,690,410 +292,215 $94,729
     CSII2,690,410+292,215$94,729
Sensient Technologies Corporat 2,147,235 +61,455 $93,426
     SXT2,147,235+61,455$93,426
Avanos Medical Inc. 3,434,370 +100,073 $92,488
     AVNS3,434,370+100,073$92,488
Freshpet Inc 1,444,485 +81,715 $92,259
     FRPT1,444,485+81,715$92,259
Cullen Frost Bankers Inc. 1,639,615 +285,165 $91,474
     CFR1,639,615+285,165$91,474
Tenable Holdings Inc. 4,152,475 +264,395 $90,773
     TENB4,152,475+264,395$90,773
Prestige Consumer Healthcare I 2,462,320 +86,915 $90,318
     PBH2,462,320+86,915$90,318

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

See Details: Top 10 Stocks Held By Champlain Investment Partners LLC

Size ($ in 1000's)
At 03/31/2020: $11,105,158
At 12/31/2019: $13,679,095

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

Champlain Investment Partners LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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