HoldingsChannel.com
Fred Alger Management Inc. Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
AMAZON COM INC. 977,767 -24,822 $1,741,159
     AMZN977,767-24,822$1,741,159
MICROSOFT CORP 14,236,001 -1,189,800 $1,678,994
     MSFT14,236,001-1,189,800$1,678,994
ALPHABET INC CL C 927,619 -8,203 $1,088,385
     GOOG927,619-8,203$1,088,385
VISA INC CLASS A SHARES (V) 6,317,198 -221,764 $986,683
     V6,317,198-221,764$986,683
ADOBE INC. 2,713,507 -5,022 $723,122
     ADBE2,713,507-5,022$723,122
SALESFORCE.COM INC 4,476,269 +241,954 $708,907
     CRM4,476,269+241,954$708,907
UNITEDHEALTH GROUP INC 2,409,056 -571,204 $595,663
     UNH2,409,056-571,204$595,663
FACEBOOK INC 3,229,574 -450,012 $538,338
     FB3,229,574-450,012$538,338
DANAHER CORP 3,987,425 +1,307,434 $526,420
     DHR3,987,425+1,307,434$526,420
ABBOTT LABORATORIES 5,571,587 +775,688 $445,393
     ABT5,571,587+775,688$445,393
APPLE INC. 2,216,300 -680,318 $420,986
     AAPL2,216,300-680,318$420,986
HONEYWELL INTERNATIONAL INC 2,572,639 +627,852 $408,844
     HON2,572,639+627,852$408,844
ALTABA INC CLOSED END INVESTM 5,452,383 -309,311 $404,131
     AABA5,452,383-309,311$404,131
BOSTON SCIENTIFIC CORP 10,026,198 -3,222,479 $384,805
     BSX10,026,198-3,222,479$384,805
PAYPAL HOLDINGS INC 3,470,695 -215,370 $360,397
     PYPL3,470,695-215,370$360,397
THERMO FISHER SCIENTIFIC INC 1,151,541 +139,256 $315,200
     TMO1,151,541+139,256$315,200
BOEING CO 698,339 -121,204 $266,360
     BA698,339-121,204$266,360
CINTAS CORP. 1,284,512 +46,902 $259,613
     CTAS1,284,512+46,902$259,613
BROADCOM LTD 850,732 +118,422 $255,824
     AVGO850,732+118,422$255,824
HOME DEPOT INC 1,317,741 -265,922 $252,861
     HD1,317,741-265,922$252,861
VERTEX PHARMACEUTICALS INC 1,368,755 -621,959 $251,782
     VRTX1,368,755-621,959$251,782
PROGRESSIVE CORP OH 3,448,237 -198,641 $248,583
     PGR3,448,237-198,641$248,583
NETFLIX COM INC 687,315 +132,441 $245,069
     NFLX687,315+132,441$245,069
ROYAL CARIBBEAN CRUISES LTD. 2,036,541 +545,242 $233,428
     RCL2,036,541+545,242$233,428
UNION PACIFIC CORP 1,365,133 +646,811 $228,250
     UNP1,365,133+646,811$228,250
AIR PRODUCTS & CHEMICALS INC 1,163,290 +323,056 $222,142
     APD1,163,290+323,056$222,142
INTERCONTINENTAL EXCHANGE INC (ICE) 2,837,985 +810,178 $216,084
     ICE2,837,985+810,178$216,084
ALIBABA GROUP HOLDING LTD ADR 1,161,507 +288,632 $211,917
     BABA1,161,507+288,632$211,917
INTUITIVE SURGICAL INC 353,045 -25,207 $201,440
     ISRG353,045-25,207$201,440
ILLUMINA INC 610,643 -427,784 $189,721
     ILMN610,643-427,784$189,721
DOLLAR TREE INC 1,787,669 +1,019,416 $187,777
     DLTR1,787,669+1,019,416$187,777
CITIGROUP INC. 2,952,848 +2,074,185 $183,726
     C2,952,848+2,074,185$183,726
LAM RESEARCH CORP. 1,022,620 -267,740 $183,059
     LRCX1,022,620-267,740$183,059
INSULET CORP 1,845,127 +193,601 $175,453
     PODD1,845,127+193,601$175,453
SHERWIN WILLIAMS CO 406,243 -9,464 $174,973
     SHW406,243-9,464$174,973
TANDEM DIABETES CARE INC 2,641,882 -542,198 $167,760
     TNDM2,641,882-542,198$167,760
VULCAN MATERIALS 1,410,496 -803,800 $167,003
     VMC1,410,496-803,800$167,003
AVALARA INC 2,991,210 +1,093,287 $166,880
     AVLR2,991,210+1,093,287$166,880
BIO TECHNE CORP 762,200 -51,236 $151,335
     TECH762,200-51,236$151,335
VEEVA SYSTEMS INC CLASS A 1,182,900 -154,603 $150,063
     VEEV1,182,900-154,603$150,063
EVERBRIDGE INC 1,993,650 -130,748 $149,544
     EVBG1,993,650-130,748$149,544
CROWN CASTLE INTERNATIONAL COR 1,146,699 -207,248 $146,777
     CCI1,146,699-207,248$146,777
CANADA GOOSE HOLDINGS INC 3,056,204 +1,420,797 $146,759
     GOOS3,056,204+1,420,797$146,759
S&P GLOBAL INC 694,024 +143,104 $146,127
     SPGI694,024+143,104$146,127
VAIL RESORTS INC. 650,707 -216,430 $141,399
     MTN650,707-216,430$141,399
CAREDX INC 4,370,019 +166,329 $137,743
     CDNA4,370,019+166,329$137,743
CHEGG INC 3,584,575 +843,260 $136,644
     CHGG3,584,575+843,260$136,644
APTIV PLC 1,669,690 +382,496 $132,724
     APTV1,669,690+382,496$132,724
COGNEX CORP. 2,590,933 +892,144 $131,775
     CGNX2,590,933+892,144$131,775
SAREPTA THERAPEUTICS INC 1,083,053 -602,585 $129,089
     SRPT1,083,053-602,585$129,089

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 03/31/2019: $25,109,458
At 12/31/2018: $21,723,329

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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