HoldingsChannel.com
Congress Asset Management Co. MA Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
Cintas Corp 733,877 +9,801 $195,475
     CTAS733,877+9,801$195,475
Ciena Corp Com 3,423,768 +1,061,808 $185,431
     CIEN3,423,768+1,061,808$185,431
Paycom Software Inc 592,556 -7,442 $183,532
     PAYC592,556-7,442$183,532
Apple Inc 488,811 -5,129 $178,318
     AAPL488,811-5,129$178,318
Amazon.Com Inc 58,740 +1,179 $162,054
     AMZN58,740+1,179$162,054
First Rep Bk San Francisco Cal 1,474,810 +31,679 $156,315
     FRC1,474,810+31,679$156,315
Microsoft Corp 692,474 -4,350 $140,925
     MSFT692,474-4,350$140,925
Etsy Inc 1,233,800 -297,971 $131,067
     ETSY1,233,800-297,971$131,067
Pool Corp 471,146 -65,620 $128,091
     POOL471,146-65,620$128,091
PayPal Holdings Inc 727,030 -23,735 $126,671
     PYPL727,030-23,735$126,671
Resmed Inc 651,196 -38,026 $125,030
     RMD651,196-38,026$125,030
Adobe Systems Inc 279,334 -811 $121,597
     ADBE279,334-811$121,597
Generac Hldgs Inc 992,237 -86,087 $120,983
     GNRC992,237-86,087$120,983
Monolithic Power Systems Inc 508,166 -102,434 $120,435
     MPWR508,166-102,434$120,435
Synopsys Inc 601,163 -118,618 $117,227
     SNPS601,163-118,618$117,227
Skyworks Solutions Inc 914,076 -49,505 $116,874
     SWKS914,076-49,505$116,874
Home Depot Inc 442,131 +5,088 $110,758
     HD442,131+5,088$110,758
Charles River Laboratories 630,586 -14,507 $109,943
     CRL630,586-14,507$109,943
Horizon Therapeutics Plc 1,955,384 +1,717,803 $108,680
     HZNP1,955,384+1,717,803$108,680
Williams Sonoma Inc 1,310,850 +1,297,990 $107,503
     WSM1,310,850+1,297,990$107,503
Visa Inc 556,394 +10,196 $107,479
     V556,394+10,196$107,479
McCormick & Co. non voting s 594,716 -8,414 $106,698
     MKC594,716-8,414$106,698
Zebra Technologies Corp Cl A 411,552 -5,500 $105,337
     ZBRA411,552-5,500$105,337
Church & Dwight Co 1,353,272 -8,195 $104,608
     CHD1,353,272-8,195$104,608
Diodes Inc 2,057,332 -47,952 $104,307
     DIOD2,057,332-47,952$104,307
Fortinet Inc 758,144 +689,511 $104,070
     FTNT758,144+689,511$104,070
Mettler Toledo International 128,885 -1,351 $103,823
     MTD128,885-1,351$103,823
Keysight Technologies Inc 995,205 -20,669 $100,297
     KEYS995,205-20,669$100,297
Copart Inc. 1,195,048 -11,944 $99,512
     CPRT1,195,048-11,944$99,512
Zoetis Inc 717,066 +1,403 $98,267
     ZTS717,066+1,403$98,267
Costco Wholesale Corp 323,444 +4,591 $98,071
     COST323,444+4,591$98,071
Steris Plc 631,606 -12,790 $96,914
     STE631,606-12,790$96,914
Qualys Inc 930,030 -65,288 $96,742
     QLYS930,030-65,288$96,742
Burlington Stores Inc 487,470 -4,228 $95,997
     BURL487,470-4,228$95,997
Dollar General Corp 494,252 -10,186 $94,160
     DG494,252-10,186$94,160
Lennox International Inc 403,715 +2,936 $94,062
     LII403,715+2,936$94,062
West Pharmaceutical Services I 414,054 +408,683 $94,061
     WST414,054+408,683$94,061
Take Two Interactive 668,172 -5,423 $93,257
     TTWO668,172-5,423$93,257
IDEX Corp Com 578,948 +2,294 $91,497
     IEX578,948+2,294$91,497
Alphabet Inc Cl A 63,833 +2,643 $90,519
     GOOGL63,833+2,643$90,519
Lamb Weston Holdings Inc 1,390,143 +39,706 $88,872
     LW1,390,143+39,706$88,872
Booz Allen Hamilton Hldg Corp 1,131,777 +4,109 $88,041
     BAH1,131,777+4,109$88,041
Avery Dennison Corp 770,622 +899 $87,920
     AVY770,622+899$87,920
Vertex Pharmaceuticals Inc 298,646 -5,099 $86,700
     VRTX298,646-5,099$86,700
Teledyne Technologies Incorpor 273,992 +690 $85,198
     TDY273,992+690$85,198
ANSYS Inc 291,018 +4,044 $84,899
     ANSS291,018+4,044$84,899
Akamai Technologies Inc 785,394 +41,188 $84,108
     AKAM785,394+41,188$84,108
Accenture PLC Ireland Cl A 391,237 +8,120 $84,006
     ACN391,237+8,120$84,006
Cooper Cos Inc 294,926 -3,053 $83,653
     COO294,926-3,053$83,653
Sun Communities Inc 616,435 +6,156 $83,638
     SUI616,435+6,156$83,638

See Full List: All Stocks Held By Congress Asset Management Co. MA
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Congress Asset Management Co. MA

Size ($ in 1000's)
At 06/30/2020: $8,414,687
At 03/31/2020: $6,565,694

Congress Asset Management Co. MA holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Congress Asset Management Co. MA 13F filings. Link to 13F filings: SEC filings

Congress Asset Management Co. MA Top Holdings 13F Filings | www.HoldingsChannel.com

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