HoldingsChannel.com
Congress Asset Management Co. MA Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Apple Inc 493,940 -32,831 $125,604
     AAPL493,940-32,831$125,604
Cintas Corp 724,076 -3,192 $125,425
     CTAS724,076-3,192$125,425
Paycom Software Inc 599,998 +168,415 $121,206
     PAYC599,998+168,415$121,206
First Rep Bk San Francisco Cal 1,443,131 -8,198 $118,741
     FRC1,443,131-8,198$118,741
Amazon.Com Inc 57,561 -329 $112,228
     AMZN57,561-329$112,228
Microsoft Corp 696,824 +7,358 $109,896
     MSFT696,824+7,358$109,896
Pool Corp 536,766 -27,750 $105,620
     POOL536,766-27,750$105,620
Monolithic Power Systems Inc 610,600 -23,975 $102,251
     MPWR610,600-23,975$102,251
Resmed Inc 689,222 -66,169 $101,516
     RMD689,222-66,169$101,516
Generac Hldgs Inc 1,078,324 -115,836 $100,467
     GNRC1,078,324-115,836$100,467
Ciena Corp Com 2,361,960 +2,361,960 $94,030
     CIEN2,361,960+2,361,960$94,030
Synopsys Inc 719,781 -18,157 $92,701
     SNPS719,781-18,157$92,701
Costco Wholesale Corp 318,853 -3,847 $90,915
     COST318,853-3,847$90,915
Steris Plc 644,396 -14,596 $90,196
     STE644,396-14,596$90,196
Mettler Toledo International 130,236 -2,314 $89,929
     MTD130,236-2,314$89,929
Adobe Systems Inc 280,145 -11,770 $89,153
     ADBE280,145-11,770$89,153
Visa Inc 546,198 -7,397 $88,003
     V546,198-7,397$88,003
Church & Dwight Co 1,361,467 -15,389 $87,379
     CHD1,361,467-15,389$87,379
Qualys Inc 995,318 +8,234 $86,583
     QLYS995,318+8,234$86,583
Skyworks Solutions Inc 963,581 -20,420 $86,125
     SWKS963,581-20,420$86,125
Diodes Inc 2,105,284 -70,220 $85,548
     DIOD2,105,284-70,220$85,548
McCormick & Co. non voting s 603,130 -10,556 $85,168
     MKC603,130-10,556$85,168
Keysight Technologies Inc 1,015,874 -19,531 $85,008
     KEYS1,015,874-19,531$85,008
Zoetis Inc 715,663 -15,050 $84,226
     ZTS715,663-15,050$84,226
Copart Inc. 1,206,992 -49,641 $82,703
     CPRT1,206,992-49,641$82,703
Cooper Cos Inc 297,979 -6,856 $82,144
     COO297,979-6,856$82,144
Home Depot Inc 437,043 +4,487 $81,600
     HD437,043+4,487$81,600
Charles River Laboratories 645,093 -37,399 $81,417
     CRL645,093-37,399$81,417
Teledyne Technologies Incorpor 273,302 -7,827 $81,244
     TDY273,302-7,827$81,244
Take Two Interactive 673,595 +2,797 $79,895
     TTWO673,595+2,797$79,895
IDEX Corp Com 576,654 -3,160 $79,642
     IEX576,654-3,160$79,642
Avery Dennison Corp 769,723 -8,388 $78,412
     AVY769,723-8,388$78,412
Burlington Stores Inc 491,698 -10,693 $77,914
     BURL491,698-10,693$77,914
Booz Allen Hamilton Hldg Corp 1,127,668 +38,106 $77,403
     BAH1,127,668+38,106$77,403
Lamb Weston Holdings Inc 1,350,437 -60,744 $77,110
     LW1,350,437-60,744$77,110
Zebra Technologies Corp Cl A 417,052 -3,134 $76,571
     ZBRA417,052-3,134$76,571
Sun Communities Inc 610,279 +17,492 $76,193
     SUI610,279+17,492$76,193
Dollar General Corp 504,438 +286 $76,175
     DG504,438+286$76,175
Huntington Ingalls Industries 400,567 +400,567 $72,987
     HII400,567+400,567$72,987
Lennox International Inc 400,779 +5,423 $72,858
     LII400,779+5,423$72,858
CME Group Inc 420,164 +6,416 $72,650
     CME420,164+6,416$72,650
Vertex Pharmaceuticals Inc 303,745 -3,672 $72,276
     VRTX303,745-3,672$72,276
PayPal Holdings Inc 750,765 +15,950 $71,878
     PYPL750,765+15,950$71,878
Alphabet Inc Cl A 61,190 +4,357 $71,100
     GOOGL61,190+4,357$71,100
Genpact Limited 2,399,285 -19,440 $70,059
     G2,399,285-19,440$70,059
Xylem Inc 1,061,625 -11,032 $69,144
     XYL1,061,625-11,032$69,144
Akamai Technologies Inc 744,206 +744,206 $68,087
     AKAM744,206+744,206$68,087
Varian Med Sys Inc 654,092 -5,837 $67,149
     VAR654,092-5,837$67,149
ANSYS Inc 286,974 -9,784 $66,713
     ANSS286,974-9,784$66,713
Crown Castle International Cor 461,660 +46,599 $66,664
     CCI461,660+46,599$66,664

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 03/31/2020: $6,565,694
At 12/31/2019: $8,213,527

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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