HoldingsChannel.com
Frontier Capital Management Co. LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Global Payments Inc. 1,800,722 -81,194 $288,350
     GPN1,800,722-81,194$288,350
Dollar General Corporation 1,550,322 +104,980 $209,542
     DG1,550,322+104,980$209,542
WEX Inc. 960,109 -15,966 $199,799
     WEX960,109-15,966$199,799
KBR Inc. 7,912,006 +751,207 $197,325
     KBR7,912,006+751,207$197,325
Aon plc 1,007,783 +554,414 $194,482
     AON1,007,783+554,414$194,482
Allegheny Technologies Incorporated 7,135,552 -1,862,970 $179,816
     ATI7,135,552-1,862,970$179,816
Eldorado Resorts Inc 3,868,415 +151,351 $178,218
     ERI3,868,415+151,351$178,218
FMC Corporation 2,116,501 -131,586 $175,564
     FMC2,116,501-131,586$175,564
Waste Connections Inc. 1,830,622 -14,826 $174,971
     WCN1,830,622-14,826$174,971
Ball Corporation 2,316,066 -698,278 $162,101
     BLL2,316,066-698,278$162,101
Cooper Companies Inc. 474,078 -172,483 $159,712
     COO474,078-172,483$159,712
Cintas Corporation 623,318 -17,955 $147,907
     CTAS623,318-17,955$147,907
Insulet Corporation 1,225,148 -733,588 $146,258
     PODD1,225,148-733,588$146,258
Texas Capital Bancshares Inc. (TCBI) 2,258,580 +1,006,929 $138,609
     TCBI2,258,580+1,006,929$138,609
ServiceNow Inc. 504,584 -14,529 $138,544
     NOW504,584-14,529$138,544
LPL Financial Holdings Inc. 1,668,765 -789,719 $136,121
     LPLA1,668,765-789,719$136,121
Beacon Roofing Supply Inc. 3,542,843 -136,525 $130,093
     BECN3,542,843-136,525$130,093
Workday Inc. Class A 596,674 -17,182 $122,664
     WDAY596,674-17,182$122,664
JetBlue Airways Corporation 6,515,674 +663,155 $120,475
     JBLU6,515,674+663,155$120,475
Edwards Lifesciences Corporation 644,587 -71,621 $119,081
     EW644,587-71,621$119,081
Marvell Technology Group Ltd. 4,968,646 -1,142,287 $118,602
     MRVL4,968,646-1,142,287$118,602
O&apos Reilly Automotive Inc. 320,066 -9,223 $118,207
     ORLY320,066-9,223$118,207
Yum Brands Inc. 1,058,592 -28,940 $117,154
     YUM1,058,592-28,940$117,154
SS&C Technologies Holdings Inc. 2,016,645 -1,619,553 $116,179
     SSNC2,016,645-1,619,553$116,179
SBA Communications Corp. Class A 500,994 +75,962 $112,643
     SBAC500,994+75,962$112,643
STERIS Plc 749,071 -306,779 $111,522
     STE749,071-306,779$111,522
Teleflex Incorporated 336,089 +44,258 $111,296
     TFX336,089+44,258$111,296
Sherwin Williams Company 240,083 -6,911 $110,028
     SHW240,083-6,911$110,028
Ulta Beauty Inc 306,475 -8,205 $106,313
     ULTA306,475-8,205$106,313
Knight Swift Transportation Holdings In 3,232,729 +328,974 $106,163
     KNX3,232,729+328,974$106,163
Lam Research Corporation 556,064 +165,578 $104,451
     LRCX556,064+165,578$104,451
Vulcan Materials Company 756,972 +183,457 $103,940
     VMC756,972+183,457$103,940
Autodesk Inc. 633,451 +33,289 $103,189
     ADSK633,451+33,289$103,189
Exact Sciences Corporation 868,456 -119,182 $102,513
     EXAS868,456-119,182$102,513
Worldpay Inc. Class A 828,167 +150,868 $101,492
     WP828,167+150,868$101,492
IHS Markit Ltd. 1,577,841 +1,577,841 $100,540
     INFO1,577,841+1,577,841$100,540
First Bancorp 8,883,121 -1,009,717 $98,070
     FBP8,883,121-1,009,717$98,070
Monolithic Power Systems Inc. 711,531 -133,611 $96,612
     MPWR711,531-133,611$96,612
Popular Inc. 1,745,198 -227,582 $94,660
     BPOP1,745,198-227,582$94,660
Corporate Office Properties Trust 3,507,163 -528,726 $92,484
     OFC3,507,163-528,726$92,484
Microchip Technology Incorporated 1,066,021 +110,347 $92,424
     MCHP1,066,021+110,347$92,424
Career Education Corporation 4,782,512 -2,105,894 $91,203
     CECO4,782,512-2,105,894$91,203
2U Inc. 2,325,578 +45,857 $87,535
     TWOU2,325,578+45,857$87,535
Argo Group International Holdings Ltd. 1,168,655 -228,897 $86,539
     ARGO1,168,655-228,897$86,539
Nasdaq Inc. 898,727 -26,034 $86,431
     NDAQ898,727-26,034$86,431
Myriad Genetics Inc. 3,077,184 -286,786 $85,484
     MYGN3,077,184-286,786$85,484
LGI Homes Inc. 1,189,869 -116,052 $84,992
     LGIH1,189,869-116,052$84,992
Ross Stores Inc. 854,259 -24,438 $84,674
     ROST854,259-24,438$84,674
Interxion Holding N.V. 1,111,048 -348 $84,540
     INXN1,111,048-348$84,540
L3Harris Technologies Inc 445,206 +445,206 $84,202
     HRS445,206+445,206$84,202

See Full List: All Stocks Held By Frontier Capital Management Co. LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Frontier Capital Management Co. LLC

Size ($ in 1000's)
At 06/30/2019: $13,258,886
At 03/31/2019: $14,062,223

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

Frontier Capital Management Co. LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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