HoldingsChannel.com
Frontier Capital Management Co. LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
DOLLAR GEN CORP NEW 1,116,254 -163,475 $168,566
     DG1,116,254-163,475$168,566
GLOBAL PMTS INC 1,120,646 -93,355 $161,631
     GPN1,120,646-93,355$161,631
AON PLC 919,123 -281,849 $151,692
     AON919,123-281,849$151,692
F M C CORP 1,828,365 +29,167 $149,359
     FMC1,828,365+29,167$149,359
L3HARRIS TECHNOLOGIES INC 746,824 -84,556 $134,518
     LHX746,824-84,556$134,518
SBA COMMUNICATIONS CORP NEW 487,199 -73,687 $131,529
     SBAC487,199-73,687$131,529
INSULET CORP 766,460 +14,448 $126,987
     PODD766,460+14,448$126,987
IHS MARKIT LTD 2,110,461 -318,690 $126,628
     INFO2,110,461-318,690$126,628
KBR INC 6,014,438 -619,451 $124,379
     KBR6,014,438-619,451$124,379
LAM RESEARCH CORP 509,044 -137,311 $122,171
     LRCX509,044-137,311$122,171
DEXCOM INC 413,281 -84,181 $111,284
     DXCM413,281-84,181$111,284
KNIGHT SWIFT TRANSN HLDGS IN 3,364,541 -208,079 $110,357
     KNX3,364,541-208,079$110,357
ADVANCED MICRO DEVICES INC 2,364,483 -561,109 $107,537
     AMD2,364,483-561,109$107,537
BALL CORP 1,574,716 -749,065 $101,821
     BLL1,574,716-749,065$101,821
SQUARE INC 1,927,014 +767,253 $100,937
     SQ1,927,014+767,253$100,937
QUANTA SVCS INC 3,155,183 +552,598 $100,114
     PWR3,155,183+552,598$100,114
MICROCHIP TECHNOLOGY INC 1,445,982 -30,457 $98,038
     MCHP1,445,982-30,457$98,038
MOODYS CORP 460,233 -34,047 $97,339
     MCO460,233-34,047$97,339
LEIDOS HOLDINGS INC 1,049,545 -161,721 $96,191
     LDOS1,049,545-161,721$96,191
SEATTLE GENETICS INC 833,050 -221,903 $96,117
     SGEN833,050-221,903$96,117
KKR & CO INC 4,076,065 -616,862 $95,665
     KKR4,076,065-616,862$95,665
TELEFLEX INCORPORATED 314,860 -47,588 $92,210
     TFX314,860-47,588$92,210
O REILLY AUTOMOTIVE INC NEW 306,251 -10,555 $92,197
     ORLY306,251-10,555$92,197
COOPER COS INC 326,195 -74,254 $89,922
     COO326,195-74,254$89,922
SPLUNK INC 679,378 +179,207 $85,758
     SPLK679,378+179,207$85,758
BIOMARIN PHARMACEUTICAL INC 982,596 -124,965 $83,029
     BMRN982,596-124,965$83,029
WASTE CONNECTIONS INC 1,045,116 -701,730 $80,996
     WCN1,045,116-701,730$80,996
ELECTRONIC ARTS INC 777,996 +7,900 $77,932
     EA777,996+7,900$77,932
TWITTER INC 3,129,514 -1,233,595 $76,861
     TWTR3,129,514-1,233,595$76,861
MONOLITHIC PWR SYS INC 456,990 -133,018 $76,528
     MPWR456,990-133,018$76,528
SHERWIN WILLIAMS CO 163,254 -55,739 $75,018
     SHW163,254-55,739$75,018
CREE INC 2,106,400 +1,317,171 $74,693
     CREE2,106,400+1,317,171$74,693
RINGCENTRAL INC 348,829 +348,829 $73,920
     RNG348,829+348,829$73,920
CORPORATE OFFICE PPTYS TR 3,222,206 +23,706 $71,307
     OFC3,222,206+23,706$71,307
LIVE NATION ENTERTAINMENT IN 1,565,386 -144,861 $71,162
     LYV1,565,386-144,861$71,162
EXACT SCIENCES CORP 1,225,788 +192,865 $71,096
     EXAS1,225,788+192,865$71,096
CINTAS CORP 405,055 -212,083 $70,164
     CTAS405,055-212,083$70,164
MARVELL TECHNOLOGY GROUP LTD 3,079,949 -359,614 $69,699
     MRVL3,079,949-359,614$69,699
NASDAQ INC 728,293 -110,069 $69,151
     NDAQ728,293-110,069$69,151
ROCKWELL AUTOMATION INC 453,275 -844 $68,404
     ROK453,275-844$68,404
GENPACT LIMITED 2,251,965 -339,485 $65,757
     G2,251,965-339,485$65,757
MONGODB INC 467,383 +455,667 $63,816
     MDB467,383+455,667$63,816
STERICYCLE INC 1,304,523 +81,832 $63,374
     SRCL1,304,523+81,832$63,374
BOOZ ALLEN HAMILTON HLDG COR 908,095 +119,079 $62,332
     BAH908,095+119,079$62,332
FIVE9 INC 804,206 +615,396 $61,490
     FIVN804,206+615,396$61,490
RESMED INC 414,849 -23,316 $61,103
     RMD414,849-23,316$61,103
VULCAN MATLS CO 559,376 -192,518 $60,452
     VMC559,376-192,518$60,452
AMPHENOL CORP NEW 828,586 -125,567 $60,387
     APH828,586-125,567$60,387
BWX TECHNOLOGIES INC 1,207,365 -181,602 $58,811
     BWXT1,207,365-181,602$58,811
ELDORADO RESORTS INC 4,045,127 +431,027 $58,250
     ERI4,045,127+431,027$58,250

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 03/31/2020: $8,901,768
At 12/31/2019: $13,536,776

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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