HoldingsChannel.com
Fred Alger Management Inc. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 13,724,794 -511,207 $1,838,573
     MSFT13,724,794-511,207$1,838,573
AMAZON COM INC. 886,139 -91,628 $1,678,019
     AMZN886,139-91,628$1,678,019
VISA INC CLASS A SHARES (V) 5,712,244 -604,954 $991,360
     V5,712,244-604,954$991,360
FACEBOOK INC 4,188,064 +958,490 $808,296
     FB4,188,064+958,490$808,296
SALESFORCE.COM INC 5,126,247 +649,978 $777,805
     CRM5,126,247+649,978$777,805
ADOBE INC. 2,563,098 -150,409 $755,217
     ADBE2,563,098-150,409$755,217
ALPHABET INC CL C 608,772 -318,847 $658,028
     GOOG608,772-318,847$658,028
APPLE INC. 2,937,465 +721,165 $581,383
     AAPL2,937,465+721,165$581,383
DANAHER CORP 3,465,419 -522,006 $495,278
     DHR3,465,419-522,006$495,278
UNITEDHEALTH GROUP INC 1,996,574 -412,482 $487,184
     UNH1,996,574-412,482$487,184
BOSTON SCIENTIFIC CORP 10,394,610 +368,412 $446,760
     BSX10,394,610+368,412$446,760
HONEYWELL INTERNATIONAL INC 2,349,509 -223,130 $410,201
     HON2,349,509-223,130$410,201
ABBOTT LABORATORIES 4,446,971 -1,124,616 $373,990
     ABT4,446,971-1,124,616$373,990
PAYPAL HOLDINGS INC 2,992,697 -477,998 $342,544
     PYPL2,992,697-477,998$342,544
INTERCONTINENTAL EXCHANGE INC (ICE) 3,959,280 +1,121,295 $340,261
     ICE3,959,280+1,121,295$340,261
WALT DISNEY CO. 2,012,032 +1,107,546 $280,960
     DIS2,012,032+1,107,546$280,960
ALTABA INC CLOSED END INVESTM 4,018,458 -1,433,925 $278,760
     AABA4,018,458-1,433,925$278,760
THERMO FISHER SCIENTIFIC INC 930,650 -220,891 $273,313
     TMO930,650-220,891$273,313
PROGRESSIVE CORP OH 3,361,244 -86,993 $268,664
     PGR3,361,244-86,993$268,664
BROADCOM LTD 875,205 +24,473 $251,937
     AVGO875,205+24,473$251,937
VERTEX PHARMACEUTICALS INC 1,334,542 -34,213 $244,728
     VRTX1,334,542-34,213$244,728
ILLUMINA INC 656,578 +45,935 $241,719
     ILMN656,578+45,935$241,719
CINTAS CORP. 1,016,029 -268,483 $241,094
     CTAS1,016,029-268,483$241,094
ALIBABA GROUP HOLDING LTD ADR 1,422,653 +261,146 $241,069
     BABA1,422,653+261,146$241,069
AVALARA INC 3,269,749 +278,539 $236,076
     AVLR3,269,749+278,539$236,076
NETFLIX COM INC 610,756 -76,559 $224,343
     NFLX610,756-76,559$224,343
SHERWIN WILLIAMS CO 480,553 +74,310 $220,233
     SHW480,553+74,310$220,233
BOEING CO 575,025 -123,314 $209,315
     BA575,025-123,314$209,315
INSULET CORP 1,744,538 -100,589 $208,263
     PODD1,744,538-100,589$208,263
CHEGG INC 5,293,939 +1,709,364 $204,293
     CHGG5,293,939+1,709,364$204,293
HOME DEPOT INC 967,750 -349,991 $201,263
     HD967,750-349,991$201,263
S&P GLOBAL INC 875,554 +181,530 $199,442
     SPGI875,554+181,530$199,442
APTIV PLC 2,444,884 +775,194 $197,620
     APTV2,444,884+775,194$197,620
DOLLAR TREE INC 1,800,708 +13,039 $193,378
     DLTR1,800,708+13,039$193,378
QUALCOMM INC. 2,460,217 +2,441,090 $187,149
     QCOM2,460,217+2,441,090$187,149
EVERBRIDGE INC 2,065,697 +72,047 $184,715
     EVBG2,065,697+72,047$184,715
CITIGROUP INC. 2,522,408 -430,440 $176,644
     C2,522,408-430,440$176,644
NIKE INC CL B 2,098,730 +1,735,445 $176,188
     NKE2,098,730+1,735,445$176,188
AIR PRODUCTS & CHEMICALS INC 758,219 -405,071 $171,638
     APD758,219-405,071$171,638
ALLERGAN PLC 1,012,533 +521,747 $169,528
     AGN1,012,533+521,747$169,528
VEEVA SYSTEMS INC CLASS A 1,020,957 -161,943 $165,507
     VEEV1,020,957-161,943$165,507
VULCAN MATERIALS 1,197,500 -212,996 $164,429
     VMC1,197,500-212,996$164,429
SAREPTA THERAPEUTICS INC 1,068,816 -14,237 $162,407
     SRPT1,068,816-14,237$162,407
CROWN CASTLE INTERNATIONAL COR 1,228,508 +81,809 $160,136
     CCI1,228,508+81,809$160,136
REPLIGEN CORP 1,849,438 +206,393 $158,959
     RGEN1,849,438+206,393$158,959
UNION PACIFIC CORP 912,183 -452,950 $154,259
     UNP912,183-452,950$154,259
BIO TECHNE CORP 718,442 -43,758 $149,788
     TECH718,442-43,758$149,788
ABIOMED INC. 560,489 +129,359 $146,002
     ABMD560,489+129,359$146,002
INTUITIVE SURGICAL INC 276,899 -76,146 $145,247
     ISRG276,899-76,146$145,247
WORLDPAY INC 1,170,484 +470,553 $143,443
     WP1,170,484+470,553$143,443

See Full List: All Stocks Held By Fred Alger Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Fred Alger Management Inc.

Size ($ in 1000's)
At 06/30/2019: $26,035,911
At 03/31/2019: $25,109,458

Combined Holding Report Includes:
FRED ALGER MANAGEMENT INC
ALPS Advisers Inc.
Weatherbie Capital LLC

Fred Alger Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Fred Alger Management Inc. 13F filings. Link to 13F filings: SEC filings

Fred Alger Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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