HoldingsChannel.com
Congress Asset Management Co. MA Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
Cintas Corp 727,268 -19,968 $195,693
     CTAS727,268-19,968$195,693
First Rep Bk San Francisco Cal 1,451,329 +571 $170,459
     FRC1,451,329+571$170,459
Apple Inc 526,771 -27,466 $154,686
     AAPL526,771-27,466$154,686
Diodes Inc 2,175,504 -6,890 $122,633
     DIOD2,175,504-6,890$122,633
Lamb Weston Holdings Inc 1,411,181 -42,224 $121,404
     LW1,411,181-42,224$121,404
Generac Hldgs Inc 1,194,160 -224,088 $120,121
     GNRC1,194,160-224,088$120,121
Pool Corp 564,516 -17,281 $119,892
     POOL564,516-17,281$119,892
Skyworks Solutions Inc 984,001 -110,187 $118,946
     SWKS984,001-110,187$118,946
Resmed Inc 755,391 -37,296 $117,063
     RMD755,391-37,296$117,063
Burlington Stores Inc 502,391 -30,113 $114,560
     BURL502,391-30,113$114,560
Copart Inc. 1,256,633 -80,017 $114,278
     CPRT1,256,633-80,017$114,278
Paycom Software Inc 431,583 -22,452 $114,266
     PAYC431,583-22,452$114,266
Monolithic Power Systems Inc 634,575 -16,486 $112,967
     MPWR634,575-16,486$112,967
Microsoft Corp 689,466 -17,517 $108,729
     MSFT689,466-17,517$108,729
Zebra Technologies Corp Cl A 420,186 -26,433 $107,332
     ZBRA420,186-26,433$107,332
Amazon.Com Inc 57,890 -519 $106,971
     AMZN57,890-519$106,971
Keysight Technologies Inc 1,035,405 -70,477 $106,264
     KEYS1,035,405-70,477$106,264
Mettler Toledo International 132,550 -1,237 $105,149
     MTD132,550-1,237$105,149
Charles River Laboratories 682,492 -2,887 $104,257
     CRL682,492-2,887$104,257
McCormick & Co. non voting s 613,686 -8,887 $104,161
     MKC613,686-8,887$104,161
Visa Inc 553,595 -15,443 $104,021
     V553,595-15,443$104,021
Synopsys Inc 737,938 -34,174 $102,721
     SNPS737,938-34,174$102,721
Genpact Limited 2,418,725 -38,609 $101,998
     G2,418,725-38,609$101,998
Avery Dennison Corp 778,111 -22,037 $101,792
     AVY778,111-22,037$101,792
Steris Plc 658,992 -7,510 $100,444
     STE658,992-7,510$100,444
IDEX Corp Com 579,814 +592 $99,728
     IEX579,814+592$99,728
Cooper Cos Inc 304,835 -1,548 $97,940
     COO304,835-1,548$97,940
Teledyne Technologies Incorpor 281,129 +6,024 $97,422
     TDY281,129+6,024$97,422
Church & Dwight Co 1,376,856 -3,827 $96,848
     CHD1,376,856-3,827$96,848
Zoetis Inc 730,713 -16,485 $96,710
     ZTS730,713-16,485$96,710
Lennox International Inc 395,356 +29 $96,455
     LII395,356+29$96,455
Adobe Systems Inc 291,915 -4,349 $96,276
     ADBE291,915-4,349$96,276
Jack Henry & Associates 652,069 -2,820 $94,987
     JKHY652,069-2,820$94,987
Costco Wholesale Corp 322,700 -12,689 $94,848
     COST322,700-12,689$94,848
Home Depot Inc 432,556 -6,007 $94,461
     HD432,556-6,007$94,461
Five Below Inc 734,805 -8,086 $93,952
     FIVE734,805-8,086$93,952
Varian Med Sys Inc 659,929 +659,929 $93,717
     VAR659,929+659,929$93,717
Rbc Bearings Inc 578,973 -10,283 $91,675
     ROLL578,973-10,283$91,675
Raymond James Financial Inc 1,001,213 +10,370 $89,569
     RJF1,001,213+10,370$89,569
Sun Communities Inc 592,787 +927 $88,977
     SUI592,787+927$88,977
Xylem Inc 1,072,657 +12,151 $84,515
     XYL1,072,657+12,151$84,515
Wex Inc 402,436 +402,436 $84,294
     WEX402,436+402,436$84,294
CME Group Inc 413,748 -27 $83,048
     CME413,748-27$83,048
TJX Companies Inc 1,353,144 -18,545 $82,623
     TJX1,353,144-18,545$82,623
Qualys Inc 987,084 +5,912 $82,293
     QLYS987,084+5,912$82,293
Take Two Interactive 670,798 +10,490 $82,126
     TTWO670,798+10,490$82,126
Jazz Pharmaceuticals Plc 545,527 +5,021 $81,436
     JAZZ545,527+5,021$81,436
Accenture PLC Ireland Cl A 377,959 +2,441 $79,587
     ACN377,959+2,441$79,587
PayPal Holdings Inc 734,815 -6,616 $79,485
     PYPL734,815-6,616$79,485
Dollar General Corp 504,152 -15,218 $78,638
     DG504,152-15,218$78,638

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 12/31/2019: $8,213,527
At 09/30/2019: $7,767,521

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

Copyright © 2013 - 2020, All Rights Reserved Nothing in Holdings Channel is intended to be investment advice, nor does it represent the opinion of, counsel from, or recommendations by BNK Invest Inc. or any of its affiliates, subsidiaries or partners. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person. All viewers agree that under no circumstances will BNK Invest, Inc,. its subsidiaries, partners, officers, employees, affiliates, or agents be held liable for any loss or damage caused by your reliance on information obtained. By visiting, using or viewing this site, you agree to the following Full Disclaimer & Terms of Use and Privacy Policy. Video widget and videos powered by Market News Video. Quote data delayed at least 20 minutes; data powered by Ticker Technologies, and Mergent. Contact Holdings Channel; Meet Our Editorial Staff.